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Multi-dimentional Analyses
Company Valuation Capital Tracking Short Selling Data
TMXXF TMX GROUP LIMITED
103.0130.0000.00%
YOY
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(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31
Financial Ratios
Efficiency Ratios TTM
Receivable Turnover(T)
-5.60% 7.9745 -2.32% 7.0437 1.26% 5.9665 10.20% 9.9513
Fixed Assets Turnover(T)
16.20% 12.8888 15.51% 12.3977 13.87% 11.9717 14.73% 6.5687
Total Asset Rate(T)
-9.75% 0.0211 -0.12% 0.0224 9.43% 0.0243 -21.84% 0.0198
ROIC
54.77% 11.403% 57.16% 11.423% 56.79% 11.046% 17.43% 7.726%
ROE
57.88% 13.974% 59.76% 13.976% 59.11% 13.528% 17.60% 9.252%
ROA
28.05% 1.017% 45.12% 1.112% 60.86% 1.221% -16.56% 0.682%
FCF to Sales
-8.03% 36.387% -3.11% 37.799% -0.20% 38.403% 0.12% 39.788%
FCF to Net Income
-35.18% 75.397% -33.31% 76.197% -32.11% 76.565% -6.22% 115.273%
Efficiency Ratios
ROE 5 Year Average
-- -- -- -- -- -- 5.55% 9.018%
ROA 5 Year Average
-- -- -- -- -- -- -6.23% 0.962%
Average 5 Years ROIC
-- -- -- -- -- -- 5.98% 7.308%
Profitability Ratios TTM
Gross Margin
-0.39% 67.385% -0.33% 67.376% 0.59% 67.523% 0.62% 67.564%
Operating Margin
-6.18% 47.621% -6.34% 47.848% 0.93% 49.252% 4.18% 50.087%
Net Margin
41.88% 48.260% 45.30% 49.607% 47.00% 50.158% 6.76% 34.516%
EBITDA Margin
82.40% 1.125% 47.15% 0.9112% 43.00% 0.8467% 15.19% 0.6708%
R & D Expense Ratio
-- 0.000% -- 0.000% -- 0.000% -- 0.000%
Sales Expense Ratio
-- 0.000% -- 0.000% -- 0.000% -- 0.000%
Administration Expense Rate
-- 0.000% -- 0.000% -- 0.000% -- 0.000%
Financial Health Ratios
Long-Term Debt to Equity Ratio
-5.48% 27.971% -4.59% 28.321% -5.24% 28.082% 26.87% 29.287%
Total Assets to Common Equity
42.50% 1607.502% 35.18% 1439.655% 47.63% 1313.329% 70.61% 1705.280%
Debt to Asset Ratio
-4.80% 28.470% -2.92% 28.828% -4.32% 28.641% 6.22% 29.592%
Current Ratio
0.07% 1.008 -0.32% 1.0078 -0.46% 1.0084 0.30% 1.0049
Quick Ratio
-12.48% 0.0112 -29.11% 0.012 -33.47% 0.0133 -34.78% 0.0083
GrowthRatios
Growth Ratios
Revenue CAGR(3Y)
-- -- -- -- -- -- -29.93% 6.272%
Revenue CAGR(5Y)
-- -- -- -- -- -- 49.91% 5.737%
Net Income CAGR(3Y)
-- -- -- -- -- -- 166.12% 5.779%
Net Income CAGR(5Y)
-- -- -- -- -- -- -- 11.502%
Dividend CAGR(3Y)
-- -- -- -- -- -- -11.78% 10.350%
Dividend CAGR(5Y)
-- -- -- -- -- -- 14.11% 12.776%
FCF 1 Year Growth
-- -- -- -- -- -- -32.66% 13.496%
FCF CAGR(3Y)
-- -- -- -- -- -- -19.59% 10.615%
FCF CAGR(5Y)
-- -- -- -- -- -- -38.64% 5.335%
Currency Unit
CADCADCADCAD

FY: Financial Year Annual Report, which is equivalent to the 10-K file disclosed by the listed company to the SEC.

Q: Quarterly report, which is equivalent to the 10-Q file disclosed by the listed company to the SEC, where Q1, Q2, Q3, and Q4 are single quarterly reports with a span of 3 months; Q6 and Q9 are cumulative quarterly reports, and Q6 is 6 months , Q9 is 9 months.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%

Company Overview More
TMX Group Ltd. operates cash and derivative markets for multiple asset classes including equities, fixed income and energy. The firm provides clearing facilities, data products and other services to the international financial community. It operates through four segments: Capital Formation; Equities and Fixed Income Trading and Clearing; Derivatives Trading and Clearing; and Global Solutions, Insights and Analytics. The company was founded on April 28, 2011 and is headquartered in Toronto, Canada.
CEO: Mr. John McKenzie
Market: Pink Market
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