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ARE Aecon Group Inc

Watchlist
  • 15.670
  • -1.710-9.84%
15min DelayMarket Closed Apr 24 16:00 ET
985.90MMarket Cap-10.81P/E (TTM)

Aecon Group Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-11.04%385.6M
-32.17%438.03M
-32.17%438.03M
16.81%506.08M
38.93%499.39M
20.69%433.47M
71.20%645.78M
71.20%645.78M
-11.32%433.25M
-33.11%359.44M
-Cash and cash equivalents
-11.04%385.6M
-32.17%438.03M
-32.17%438.03M
17.04%506.08M
39.24%499.39M
20.96%433.47M
71.20%645.78M
71.20%645.78M
-11.34%432.41M
-33.26%358.64M
-Short term investments
----
----
----
----
----
----
----
----
4.50%836K
--800K
Receivables
8.60%1.88B
-2.08%1.68B
-2.08%1.68B
-0.14%1.82B
-6.68%1.72B
-0.29%1.74B
-0.67%1.71B
-0.67%1.71B
4.69%1.83B
16.41%1.84B
-Accounts receivable
10.54%589.96M
-16.27%503.63M
-16.27%503.63M
-6.49%623.74M
-12.17%603.02M
-13.59%533.71M
-4.28%601.47M
-4.28%601.47M
8.90%667.05M
31.61%686.56M
-Taxes receivable
25.85%48.38M
53.69%36.68M
53.69%36.68M
10.10%27.25M
177.31%76.85M
128.51%38.44M
61.59%23.86M
61.59%23.86M
-7.89%24.75M
-0.05%27.71M
-Other receivables
7.16%1.25B
4.57%1.14B
4.57%1.14B
3.46%1.17B
-7.77%1.04B
5.26%1.16B
0.53%1.09B
0.53%1.09B
2.66%1.13B
9.16%1.12B
-Recievables adjustments allowances
-37.74%-1.23M
-47.17%-1.25M
-47.17%-1.25M
---1M
---1.11M
---893K
37.74%-848K
37.74%-848K
----
----
Inventory
8.52%26.8M
3.42%21.53M
3.42%21.53M
1.37%30.09M
1.94%31.18M
-9.23%24.7M
-44.67%20.82M
-44.67%20.82M
-19.56%29.68M
-5.24%30.59M
Prepaid assets
-15.45%75.73M
-2.05%91.87M
-2.05%91.87M
-14.46%86.09M
-24.57%89.74M
-0.14%89.57M
21.84%93.8M
21.84%93.8M
40.38%100.64M
53.78%118.97M
Restricted cash
----
----
----
----
----
----
----
----
--0
--0
Holding assets for sale
----
----
----
----
----
----
----
----
----
--616.78M
Total current assets
3.92%2.37B
-9.89%2.23B
-9.89%2.23B
2.35%2.45B
-21.20%2.34B
-25.11%2.28B
6.46%2.47B
6.46%2.47B
-1.92%2.39B
27.96%2.96B
Non current assets
Net PPE
25.47%372.13M
42.92%360.02M
42.92%360.02M
37.87%342.13M
19.03%304.88M
8.80%296.58M
-36.24%251.9M
-36.24%251.9M
-37.51%248.15M
-34.52%256.15M
-Gross PPE
10.57%757.86M
35.60%740.8M
35.60%740.8M
34.39%726.28M
26.47%693.99M
21.74%685.44M
-31.93%546.29M
-31.93%546.29M
-32.27%540.45M
-30.27%548.74M
-Accumulated depreciation
0.80%-385.73M
-29.34%-380.77M
-29.34%-380.77M
-31.42%-384.16M
-32.98%-389.11M
-33.89%-388.86M
27.76%-294.4M
27.76%-294.4M
27.09%-292.3M
26.06%-292.6M
Investments and advances
6.54%272.71M
8.71%276.31M
8.71%276.31M
-4.11%253.57M
171.99%266.92M
193.56%255.97M
127.59%254.18M
127.59%254.18M
139.10%264.45M
-3.54%98.14M
-Long term equity investment
-0.10%234.56M
2.23%237.94M
2.23%237.94M
-6.41%232.52M
174.67%245.73M
179.07%234.79M
115.77%232.75M
115.77%232.75M
139.62%248.44M
-5.18%89.47M
-Financial asset investment
80.08%38.14M
79.13%38.38M
79.13%38.38M
31.53%21.06M
144.32%21.19M
591.29%21.18M
461.99%21.42M
461.99%21.42M
131.23%16.01M
17.40%8.67M
-Including:Financial assets designated as fair value through profit or loss, Total
----
9.39%16.05M
9.39%16.05M
----
----
----
--14.67M
--14.67M
----
----
-Including:Available-for-sale securities
----
230.67%22.33M
230.67%22.33M
----
----
----
--6.75M
--6.75M
----
----
Goodwill and other intangible assets
94.76%236.04M
97.81%243.34M
97.81%243.34M
45.71%181.62M
-6.11%119.09M
-6.43%121.2M
-81.43%123.01M
-81.43%123.01M
-81.43%124.64M
-80.29%126.84M
-Goodwill
42.86%150.82M
43.30%151.27M
43.30%151.27M
16.66%122.62M
0.44%105.58M
0.44%105.57M
-2.35%105.56M
-2.35%105.56M
-2.77%105.11M
-0.18%105.11M
-Other intangible assets
445.49%85.22M
427.56%92.07M
427.56%92.07M
202.04%59M
-37.82%13.51M
-36.02%15.62M
-96.85%17.45M
-96.85%17.45M
-96.53%19.53M
-95.96%21.73M
Non current deferred assets
42.21%127.65M
26.43%117.94M
26.43%117.94M
21.06%110.39M
36.05%113.43M
5.85%89.76M
25.00%93.29M
25.00%93.29M
54.60%91.19M
47.40%83.37M
Total non current assets
32.09%1.01B
38.10%997.61M
38.10%997.61M
21.87%887.7M
42.49%804.32M
32.99%763.52M
-41.92%722.37M
-41.92%722.37M
-41.16%728.42M
-52.68%564.49M
Total assets
10.98%3.38B
0.96%3.23B
0.96%3.23B
6.91%3.33B
-11.01%3.14B
-15.91%3.05B
-10.41%3.2B
-10.41%3.2B
-15.14%3.12B
0.55%3.53B
Liabilities
Current liabilities
Current debt and capital lease obligation
6.98%41.32M
-4.33%40.77M
-4.33%40.77M
-82.50%43.91M
-90.51%39.05M
-91.90%38.62M
-88.16%42.61M
-88.16%42.61M
-8.24%250.86M
45.48%411.28M
-Current debt
6.98%41.32M
-4.33%40.77M
-4.33%40.77M
-82.50%43.91M
-90.51%39.05M
-91.90%38.62M
-88.16%42.61M
-88.16%42.61M
-8.24%250.86M
45.48%411.28M
Payables
21.74%1.13B
9.34%1.13B
9.34%1.13B
0.59%1.19B
-6.36%1.05B
-12.56%930.24M
-4.13%1.03B
-4.13%1.03B
8.63%1.19B
13.92%1.13B
-accounts payable
22.82%913.49M
4.98%875.5M
4.98%875.5M
-2.98%958.57M
-8.99%859.06M
-16.46%743.79M
-7.52%834.01M
-7.52%834.01M
4.45%988.02M
11.91%943.91M
-Total tax payable
286.02%29.29M
471.45%64.91M
471.45%64.91M
564.96%58.95M
81.06%9.94M
-31.98%7.59M
19.47%11.36M
19.47%11.36M
89.34%8.87M
49.75%5.49M
-Other payable
6.06%189.7M
0.59%184.92M
0.59%184.92M
-7.17%176.63M
4.94%185.44M
10.14%178.86M
13.34%183.83M
13.34%183.83M
33.80%190.28M
25.00%176.7M
Current provisions
-15.76%22.79M
-38.89%21.56M
-38.89%21.56M
50.20%28.46M
160.25%38.59M
57.40%27.06M
141.92%35.27M
141.92%35.27M
-10.00%18.95M
-21.32%14.83M
Current deferred liabilities
19.63%630.37M
14.72%595.48M
14.72%595.48M
77.47%628.95M
97.41%599.77M
84.33%526.91M
34.28%519.08M
34.28%519.08M
-4.54%354.4M
-22.74%303.82M
Other current liabilities
1.67%159.31M
2.03%160.3M
2.03%160.3M
--154.87M
-67.46%158.15M
-71.41%156.69M
--157.11M
--157.11M
----
--486.05M
Current liabilities
18.26%1.99B
8.98%1.94B
8.98%1.94B
13.19%2.05B
-19.30%1.89B
-29.79%1.68B
-2.79%1.78B
-2.79%1.78B
3.00%1.81B
39.14%2.34B
Non current liabilities
Long term debt and capital lease obligation
127.39%415.83M
20.68%263.65M
20.68%263.65M
159.73%270.07M
95.01%203.26M
10.34%182.88M
-60.23%218.47M
-60.23%218.47M
-85.83%103.98M
-85.28%104.23M
-Long term debt
127.39%415.83M
20.68%263.65M
20.68%263.65M
159.73%270.07M
95.01%203.26M
10.34%182.88M
-60.23%218.47M
-60.23%218.47M
-85.83%103.98M
-85.28%104.23M
Long term provisions
22.07%4.8M
18.39%4.71M
18.39%4.71M
11.76%4.24M
1.36%4.1M
-0.18%3.93M
-37.07%3.98M
-37.07%3.98M
-44.07%3.79M
-47.92%4.04M
Non current deferred liabilities
-59.44%51.49M
-59.92%50.24M
-59.92%50.24M
-61.01%47.11M
-4.15%123.65M
0.77%126.93M
-43.57%125.34M
-43.57%125.34M
-46.39%120.83M
-38.49%128.99M
Other non current liabilities
--1.78M
600.79%1.77M
600.79%1.77M
----
----
----
-70.60%252K
-70.60%252K
--767K
870.73%796K
Total non current liabilities
51.05%473.89M
-7.95%320.36M
-7.95%320.36M
40.13%321.42M
39.04%331M
5.83%313.73M
-55.30%348.04M
-55.30%348.04M
-76.25%229.37M
-74.28%238.06M
Total liabilities
23.43%2.46B
6.22%2.26B
6.22%2.26B
16.22%2.37B
-13.92%2.22B
-25.86%1.99B
-18.44%2.13B
-18.44%2.13B
-25.10%2.04B
-1.11%2.58B
Shareholders'equity
Share capital
2.99%443.63M
2.70%442.33M
2.70%442.33M
2.87%435.29M
2.82%433.55M
2.72%430.76M
2.71%430.71M
2.71%430.71M
3.10%423.17M
3.40%421.68M
-common stock
2.99%443.63M
2.70%442.33M
2.70%442.33M
2.87%435.29M
2.82%433.55M
2.72%430.76M
2.71%430.71M
2.71%430.71M
3.10%423.17M
3.40%421.68M
Additional paid-in capital
-11.96%73.02M
-12.46%70.65M
-12.46%70.65M
6.52%79.8M
17.57%82.4M
21.97%82.94M
27.47%80.71M
27.47%80.71M
6.10%74.91M
1.46%70.09M
Retained earnings
-26.69%390.92M
-20.03%440.84M
-20.03%440.84M
-20.64%438.94M
-7.83%397.47M
28.66%533.28M
26.64%551.26M
26.64%551.26M
29.51%553.11M
6.51%431.25M
Gains losses not affecting retained earnings
14.27%7.41M
39.32%2.3M
39.32%2.3M
-86.19%1.93M
-55.38%5.68M
-67.63%6.48M
-92.93%1.65M
-92.93%1.65M
-52.89%13.99M
119.18%12.73M
Other equity interest
----
----
----
----
----
----
----
----
0.00%12.71M
0.00%12.71M
Total stockholders'equity
-13.15%914.98M
-10.17%956.12M
-10.17%956.12M
-11.31%955.96M
-3.09%919.1M
12.72%1.05B
11.57%1.06B
11.57%1.06B
13.40%1.08B
5.35%948.45M
Noncontrolling interests
--6.16M
--6.32M
--6.32M
--6.29M
----
----
--0
--0
----
----
Total equity
-12.56%921.14M
-9.57%962.44M
-9.57%962.44M
-10.73%962.25M
-3.09%919.1M
12.72%1.05B
11.57%1.06B
11.57%1.06B
13.40%1.08B
5.35%948.45M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -11.04%385.6M-32.17%438.03M-32.17%438.03M16.81%506.08M38.93%499.39M20.69%433.47M71.20%645.78M71.20%645.78M-11.32%433.25M-33.11%359.44M
-Cash and cash equivalents -11.04%385.6M-32.17%438.03M-32.17%438.03M17.04%506.08M39.24%499.39M20.96%433.47M71.20%645.78M71.20%645.78M-11.34%432.41M-33.26%358.64M
-Short term investments --------------------------------4.50%836K--800K
Receivables 8.60%1.88B-2.08%1.68B-2.08%1.68B-0.14%1.82B-6.68%1.72B-0.29%1.74B-0.67%1.71B-0.67%1.71B4.69%1.83B16.41%1.84B
-Accounts receivable 10.54%589.96M-16.27%503.63M-16.27%503.63M-6.49%623.74M-12.17%603.02M-13.59%533.71M-4.28%601.47M-4.28%601.47M8.90%667.05M31.61%686.56M
-Taxes receivable 25.85%48.38M53.69%36.68M53.69%36.68M10.10%27.25M177.31%76.85M128.51%38.44M61.59%23.86M61.59%23.86M-7.89%24.75M-0.05%27.71M
-Other receivables 7.16%1.25B4.57%1.14B4.57%1.14B3.46%1.17B-7.77%1.04B5.26%1.16B0.53%1.09B0.53%1.09B2.66%1.13B9.16%1.12B
-Recievables adjustments allowances -37.74%-1.23M-47.17%-1.25M-47.17%-1.25M---1M---1.11M---893K37.74%-848K37.74%-848K--------
Inventory 8.52%26.8M3.42%21.53M3.42%21.53M1.37%30.09M1.94%31.18M-9.23%24.7M-44.67%20.82M-44.67%20.82M-19.56%29.68M-5.24%30.59M
Prepaid assets -15.45%75.73M-2.05%91.87M-2.05%91.87M-14.46%86.09M-24.57%89.74M-0.14%89.57M21.84%93.8M21.84%93.8M40.38%100.64M53.78%118.97M
Restricted cash ----------------------------------0--0
Holding assets for sale --------------------------------------616.78M
Total current assets 3.92%2.37B-9.89%2.23B-9.89%2.23B2.35%2.45B-21.20%2.34B-25.11%2.28B6.46%2.47B6.46%2.47B-1.92%2.39B27.96%2.96B
Non current assets
Net PPE 25.47%372.13M42.92%360.02M42.92%360.02M37.87%342.13M19.03%304.88M8.80%296.58M-36.24%251.9M-36.24%251.9M-37.51%248.15M-34.52%256.15M
-Gross PPE 10.57%757.86M35.60%740.8M35.60%740.8M34.39%726.28M26.47%693.99M21.74%685.44M-31.93%546.29M-31.93%546.29M-32.27%540.45M-30.27%548.74M
-Accumulated depreciation 0.80%-385.73M-29.34%-380.77M-29.34%-380.77M-31.42%-384.16M-32.98%-389.11M-33.89%-388.86M27.76%-294.4M27.76%-294.4M27.09%-292.3M26.06%-292.6M
Investments and advances 6.54%272.71M8.71%276.31M8.71%276.31M-4.11%253.57M171.99%266.92M193.56%255.97M127.59%254.18M127.59%254.18M139.10%264.45M-3.54%98.14M
-Long term equity investment -0.10%234.56M2.23%237.94M2.23%237.94M-6.41%232.52M174.67%245.73M179.07%234.79M115.77%232.75M115.77%232.75M139.62%248.44M-5.18%89.47M
-Financial asset investment 80.08%38.14M79.13%38.38M79.13%38.38M31.53%21.06M144.32%21.19M591.29%21.18M461.99%21.42M461.99%21.42M131.23%16.01M17.40%8.67M
-Including:Financial assets designated as fair value through profit or loss, Total ----9.39%16.05M9.39%16.05M--------------14.67M--14.67M--------
-Including:Available-for-sale securities ----230.67%22.33M230.67%22.33M--------------6.75M--6.75M--------
Goodwill and other intangible assets 94.76%236.04M97.81%243.34M97.81%243.34M45.71%181.62M-6.11%119.09M-6.43%121.2M-81.43%123.01M-81.43%123.01M-81.43%124.64M-80.29%126.84M
-Goodwill 42.86%150.82M43.30%151.27M43.30%151.27M16.66%122.62M0.44%105.58M0.44%105.57M-2.35%105.56M-2.35%105.56M-2.77%105.11M-0.18%105.11M
-Other intangible assets 445.49%85.22M427.56%92.07M427.56%92.07M202.04%59M-37.82%13.51M-36.02%15.62M-96.85%17.45M-96.85%17.45M-96.53%19.53M-95.96%21.73M
Non current deferred assets 42.21%127.65M26.43%117.94M26.43%117.94M21.06%110.39M36.05%113.43M5.85%89.76M25.00%93.29M25.00%93.29M54.60%91.19M47.40%83.37M
Total non current assets 32.09%1.01B38.10%997.61M38.10%997.61M21.87%887.7M42.49%804.32M32.99%763.52M-41.92%722.37M-41.92%722.37M-41.16%728.42M-52.68%564.49M
Total assets 10.98%3.38B0.96%3.23B0.96%3.23B6.91%3.33B-11.01%3.14B-15.91%3.05B-10.41%3.2B-10.41%3.2B-15.14%3.12B0.55%3.53B
Liabilities
Current liabilities
Current debt and capital lease obligation 6.98%41.32M-4.33%40.77M-4.33%40.77M-82.50%43.91M-90.51%39.05M-91.90%38.62M-88.16%42.61M-88.16%42.61M-8.24%250.86M45.48%411.28M
-Current debt 6.98%41.32M-4.33%40.77M-4.33%40.77M-82.50%43.91M-90.51%39.05M-91.90%38.62M-88.16%42.61M-88.16%42.61M-8.24%250.86M45.48%411.28M
Payables 21.74%1.13B9.34%1.13B9.34%1.13B0.59%1.19B-6.36%1.05B-12.56%930.24M-4.13%1.03B-4.13%1.03B8.63%1.19B13.92%1.13B
-accounts payable 22.82%913.49M4.98%875.5M4.98%875.5M-2.98%958.57M-8.99%859.06M-16.46%743.79M-7.52%834.01M-7.52%834.01M4.45%988.02M11.91%943.91M
-Total tax payable 286.02%29.29M471.45%64.91M471.45%64.91M564.96%58.95M81.06%9.94M-31.98%7.59M19.47%11.36M19.47%11.36M89.34%8.87M49.75%5.49M
-Other payable 6.06%189.7M0.59%184.92M0.59%184.92M-7.17%176.63M4.94%185.44M10.14%178.86M13.34%183.83M13.34%183.83M33.80%190.28M25.00%176.7M
Current provisions -15.76%22.79M-38.89%21.56M-38.89%21.56M50.20%28.46M160.25%38.59M57.40%27.06M141.92%35.27M141.92%35.27M-10.00%18.95M-21.32%14.83M
Current deferred liabilities 19.63%630.37M14.72%595.48M14.72%595.48M77.47%628.95M97.41%599.77M84.33%526.91M34.28%519.08M34.28%519.08M-4.54%354.4M-22.74%303.82M
Other current liabilities 1.67%159.31M2.03%160.3M2.03%160.3M--154.87M-67.46%158.15M-71.41%156.69M--157.11M--157.11M------486.05M
Current liabilities 18.26%1.99B8.98%1.94B8.98%1.94B13.19%2.05B-19.30%1.89B-29.79%1.68B-2.79%1.78B-2.79%1.78B3.00%1.81B39.14%2.34B
Non current liabilities
Long term debt and capital lease obligation 127.39%415.83M20.68%263.65M20.68%263.65M159.73%270.07M95.01%203.26M10.34%182.88M-60.23%218.47M-60.23%218.47M-85.83%103.98M-85.28%104.23M
-Long term debt 127.39%415.83M20.68%263.65M20.68%263.65M159.73%270.07M95.01%203.26M10.34%182.88M-60.23%218.47M-60.23%218.47M-85.83%103.98M-85.28%104.23M
Long term provisions 22.07%4.8M18.39%4.71M18.39%4.71M11.76%4.24M1.36%4.1M-0.18%3.93M-37.07%3.98M-37.07%3.98M-44.07%3.79M-47.92%4.04M
Non current deferred liabilities -59.44%51.49M-59.92%50.24M-59.92%50.24M-61.01%47.11M-4.15%123.65M0.77%126.93M-43.57%125.34M-43.57%125.34M-46.39%120.83M-38.49%128.99M
Other non current liabilities --1.78M600.79%1.77M600.79%1.77M-------------70.60%252K-70.60%252K--767K870.73%796K
Total non current liabilities 51.05%473.89M-7.95%320.36M-7.95%320.36M40.13%321.42M39.04%331M5.83%313.73M-55.30%348.04M-55.30%348.04M-76.25%229.37M-74.28%238.06M
Total liabilities 23.43%2.46B6.22%2.26B6.22%2.26B16.22%2.37B-13.92%2.22B-25.86%1.99B-18.44%2.13B-18.44%2.13B-25.10%2.04B-1.11%2.58B
Shareholders'equity
Share capital 2.99%443.63M2.70%442.33M2.70%442.33M2.87%435.29M2.82%433.55M2.72%430.76M2.71%430.71M2.71%430.71M3.10%423.17M3.40%421.68M
-common stock 2.99%443.63M2.70%442.33M2.70%442.33M2.87%435.29M2.82%433.55M2.72%430.76M2.71%430.71M2.71%430.71M3.10%423.17M3.40%421.68M
Additional paid-in capital -11.96%73.02M-12.46%70.65M-12.46%70.65M6.52%79.8M17.57%82.4M21.97%82.94M27.47%80.71M27.47%80.71M6.10%74.91M1.46%70.09M
Retained earnings -26.69%390.92M-20.03%440.84M-20.03%440.84M-20.64%438.94M-7.83%397.47M28.66%533.28M26.64%551.26M26.64%551.26M29.51%553.11M6.51%431.25M
Gains losses not affecting retained earnings 14.27%7.41M39.32%2.3M39.32%2.3M-86.19%1.93M-55.38%5.68M-67.63%6.48M-92.93%1.65M-92.93%1.65M-52.89%13.99M119.18%12.73M
Other equity interest --------------------------------0.00%12.71M0.00%12.71M
Total stockholders'equity -13.15%914.98M-10.17%956.12M-10.17%956.12M-11.31%955.96M-3.09%919.1M12.72%1.05B11.57%1.06B11.57%1.06B13.40%1.08B5.35%948.45M
Noncontrolling interests --6.16M--6.32M--6.32M--6.29M----------0--0--------
Total equity -12.56%921.14M-9.57%962.44M-9.57%962.44M-10.73%962.25M-3.09%919.1M12.72%1.05B11.57%1.06B11.57%1.06B13.40%1.08B5.35%948.45M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility. Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility.

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