C$119.32
C$0.00 (0.00%)
End-of-day quote: 05/17/2024
TSX:CJT

Cargojet Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2005
Rev. Revenue
C$877.50M C$979.90M C$757.80M C$668.50M C$486.60M C$454.90M C$382.90M C$331.00M C$289.00M C$192.40M C$175.38M C$168.77M C$165.51M C$156.21M C$143.58M C$205.68M C$103.94M
GM % Gross Margin %
15.74% 25.26% 30.67% 37.47% 24.50% 24.69% 27.76% 26.25% 18.55% 16.20% 14.50% 16.79% 18.03% 22.63% 28.10% 18.49% 20.50%
OM Operating Margin
7.70% 17.64% 22.82% 22.18% 12.27% 13.26% 15.20% 13.81% 6.57% 2.53% 3.78% 5.57% 6.22% 9.83% 10.88% 3.66% 0.20%
EPS Earnings Per Share
C$0.00 C$2.06 C$6.95 C$5.02 C$-5.66 C$0.85 C$1.50 C$2.06 C$1.07 C$-1.86 C$-1.07 C$0.42 C$0.54 C$0.50 C$0.90 C$0.86 C$-0.01 C$0.07
Div. Dividends
C$1.16 C$1.12 C$1.04 C$0.94 C$0.94 C$0.85 C$0.77 C$0.65 C$0.60 C$0.60 C$0.60 C$0.58 C$0.53 C$0.50 C$0.83 C$0.98 C$0.73
PR % Payout Ratio %
56.31% 16.12% 20.72% -16.61% 110.59% 56.67% 37.38% 60.75% -32.26% -56.07% 142.86% 107.41% 106.00% 55.56% 96.51% -9800.00% 1042.86%
Sha. Shares
16.87m 17.2m 17.32m 15.6m 15.58m 13.45m 13.38m 10.64m 10.1m 9.13m 7.93m 7.94m 7.94m 6.44m 5.76m 6.68m 6.7m
OCF Operating Cash Flow
C$192.80M C$282.50M C$231.20M C$292.60M C$151.00M C$91.30M C$78.70M C$62.00M C$20.10M C$-5.85M C$17.65M C$20.36M C$15.13M C$13.47M C$17.71M C$11.87M C$8.53M
FCF Free Cash Flow
C$50.33M C$-317.60M C$-32.60M C$146.00M C$-67.10M C$-95.40M C$-57.00M C$2.20M C$13.14M C$-1.70M C$3.23M C$4.34M C$3.88M C$16.02M C$11.00M C$-9.33M C$6.29M
FCFS Free Cash Flow Per Share
C$-4.30 C$-19.04 C$-2.70 C$9.36 C$-4.94 C$-7.11 C$-4.70 C$0.21 C$-10.25 C$-12.38 C$0.84 C$1.07 C$0.49 C$1.07 C$1.73 C$-1.39 C$0.77