
Canadian Pacific Kansas City
(TSX) CP
Canadian Pacific Kansas City Financials at a Glance
Market Cap
CA$107.66B
Revenue (TTM)
CA$16.43B
Net Income (TTM)
CA$4.44B
EPS (TTM)
CA$4.49
P/E Ratio
27.04
Dividend
CA$0.91
Beta (Volatility)
0.90 (Low)
Dividend
CA$0.91
Beta (Volatility)
0.90 (Low)
Price
CA$121.27
Volume
1,253,896
Open
CA$120.88
Price
CA$121.27
Volume
1,253,896
Open
CA$120.88
Previous Close
CA$121.27
Daily Range
CA$120.69 - CA$122.31
52-Week Range
CA$96.50 - CA$127.50
Estimated Earnings Date
Jul 29, 2026
Dividend
CA$0.91
Beta (Volatility)
0.90 (Low)
Price
CA$121.27
Volume
1,253,896
Open
CA$120.88
Previous Close
CA$121.27
Daily Range
CA$120.69 - CA$122.31
52-Week Range
CA$96.50 - CA$127.50
Estimated Earnings Date
Jul 29, 2026
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Get Access NowAbout Canadian Pacific Kansas City
Industry
Road and Rail
Sector
IndustrialsEmployees
19,479
CEO
Keith Edward Creel
Website
www.cpkcr.comHeadquarters
Calgary, AB T2C 4X9, CA
CP Financials
Key Financial Metrics (TTM)
Gross Margin
48.27%
Operating Margin
37.11%
Net Income Margin
27.03%
Return on Equity
8.78%
Return on Capital
8.21%
Return on Assets
5.06%
Earnings Yield
3.70%
Dividend Yield
0.75%
Payout Ratio
20.36%
Stock Overview
Market Cap
CA$107.66B
Shares Outstanding
887.74M
Volume
1.25M
Avg. Volume
1.29M
Financials (TTM)
Gross Profit
CA$7.93B
Operating Income
CA$6.10B
EBITDA
CA$9.07B
Operating Cash Flow
CA$5.63B
Capital Expenditure
-CA$3.43B
Free Cash Flow
CA$2.20B
Cash & ST Invst.
CA$409.00M
Total Debt
CA$24.32B
Canadian Pacific Kansas City Performance Analysis
Revenue Growth Rate
Annual and quarterly growth comparisonEarnings Per Share Growth Rate
Annual and quarterly EPS growth comparisonQuarterly Performance
Revenue
CA$3.70B
-2.5%
Gross Profit
CA$1.36B
-29.9%
Gross Margin
36.80%
N/A
Market Cap
CA$107.66B
N/A
Market Cap/Employee
CA$5.38M
N/A
Employees
19,992
N/A
Net Income
CA$846.00M
-7.0%
EBITDA
CA$1.86B
-3.2%
Quarterly Fundamentals
Total Cash
CA$409.00M
-41.2%
Total Debt
CA$24.32B
+7.4%
Accounts Receivable
CA$2.20B
+7.4%
Inventory
CA$534.00M
+14.6%
Long Term Debt
CA$21.88B
+3.5%
Short Term Debt
CA$2.44B
+61.2%
Return on Assets
5.06%
N/A
Return on Invested Capital
7.38%
N/A
Free Cash Flow
CA$307.00M
-29.1%
Operating Cash Flow
CA$976.00M
-15.6%