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TRZ Transat AT Inc

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  • 1.480
  • +0.040+2.78%
15min DelayMarket Closed Apr 1 16:00 ET
58.84MMarket Cap-0.33P/E (TTM)

Transat AT Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jan 31, 2025
(FY)Oct 31, 2024
(Q4)Oct 31, 2024
(Q3)Jul 31, 2024
(Q2)Apr 30, 2024
(Q1)Jan 31, 2024
(FY)Oct 31, 2023
(Q4)Oct 31, 2023
(Q3)Jul 31, 2023
(Q2)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
52.28%168.58M
-70.58%94.67M
-91.81%-108.11M
-1,109.68%-91.14M
-3.85%183.22M
-43.26%110.7M
280.91%321.75M
6.16%-56.36M
87.99%-7.53M
673.37%190.56M
Net income from continuing operations
-100.95%-122.53M
-350.85%-114.03M
1,190.36%41.23M
-169.62%-39.89M
-86.38%-54.39M
-7.71%-60.98M
94.32%-25.29M
102.53%3.2M
153.82%57.3M
70.31%-29.18M
Operating gains losses
385.89%39.08M
-150.66%-4.74M
-451.90%-11.41M
109.78%1.64M
-33.43%18.7M
-161.58%-13.67M
-83.47%9.35M
-94.34%3.24M
-104.26%-16.75M
186.32%28.09M
Depreciation and amortization
25.52%62.97M
19.06%221.87M
26.29%61.55M
3.09%55.41M
28.03%54.75M
22.03%50.16M
20.84%186.36M
15.84%48.73M
40.81%53.75M
17.16%42.76M
Asset impairment expenditure
--0
---3.11M
--0
--0
--0
---3.11M
--0
--0
--0
--0
Remuneration paid in stock
125.13%49K
-119.41%-46K
-21.88%50K
-19.67%49K
-10.71%50K
-448.21%-195K
64.58%237K
14.29%64K
103.33%61K
93.10%56K
Deferred tax
121.38%99K
3,083.53%2.71M
3,140.91%2.68M
23.54%782K
-82.91%-289K
-53.31%-463K
108.72%85K
90.97%-88K
--633K
---158K
Other non cashItems
9.06%11.83M
-72.99%15.48M
-172.60%-17.56M
0.76%11.28M
3.68%10.91M
-4.98%10.85M
24.84%57.31M
103.42%24.18M
-4.47%11.19M
204.09%10.52M
Change In working capital
38.23%177.09M
-125.03%-23.45M
-36.08%-184.65M
-5.87%-120.4M
10.85%153.49M
-37.40%128.11M
706.98%93.71M
-207.43%-135.69M
-5,696.56%-113.72M
59.74%138.47M
-Change in other working capital
38.23%177.09M
-125.03%-23.45M
-36.08%-184.65M
-5.87%-120.4M
10.85%153.49M
-37.40%128.11M
706.98%93.71M
-207.43%-135.69M
-5,696.56%-113.72M
59.74%138.47M
Cash from discontinued investing activities
Operating cash flow
52.28%168.58M
-70.58%94.67M
-91.81%-108.11M
-1,109.68%-91.14M
-3.85%183.22M
-43.26%110.7M
280.91%321.75M
6.16%-56.36M
87.99%-7.53M
673.37%190.56M
Investing cash flow
Cash flow from continuing investing activities
126.91%7.73M
-296.36%-31.45M
314.54%57.87M
-609.21%-29.33M
-329.28%-31.25M
-174.26%-28.75M
76.51%-7.94M
258.97%13.96M
58.61%-4.14M
32.89%-7.28M
Net PPE purchase and sale
53.46%-22.88M
11.27%-51.08M
337.01%57.23M
-107.48%-29.33M
-238.80%-29.82M
-369.03%-49.16M
-76.96%-57.57M
-199.03%-24.15M
-41.49%-14.14M
14.55%-8.8M
Net business purchase and sale
----
-57.57%20.41M
--0
--0
--0
----
6,904.81%48.11M
--38.11M
--10M
--0
Net investment purchase and sale
--0
----
----
----
----
--20.41M
----
----
----
----
Net other investing changes
--30.62M
-151.48%-784K
--642K
----
-193.63%-1.43M
----
379.45%1.52M
--0
----
379.45%1.52M
Cash from discontinued investing activities
Investing cash flow
126.91%7.73M
-296.36%-31.45M
314.54%57.87M
-609.21%-29.33M
-329.28%-31.25M
-174.26%-28.75M
76.51%-7.94M
258.97%13.96M
58.61%-4.14M
32.89%-7.28M
Financing cash flow
Cash flow from continuing financing activities
24.39%-47.75M
-18.36%-240.29M
45.23%-51.51M
-19.19%-47.65M
-171.75%-77.99M
-56.67%-63.15M
-303.65%-203.02M
-282.78%-94.04M
-58.70%-39.97M
-118.39%-28.7M
Net issuance payments of debt
25.77%-47.18M
-18.56%-242.28M
44.94%-51.98M
-19.41%-48.25M
-169.86%-78.48M
-57.11%-63.56M
-301.26%-204.36M
-281.67%-94.41M
-76.36%-40.41M
-118.67%-29.08M
Net common stock issuance
18.84%492K
30.28%1.99M
28.61%472K
39.49%604K
29.35%498K
21.41%414K
67.32%1.53M
16.88%367K
28.49%433K
47.51%385K
Net other financing activities
---1.06M
----
----
----
----
----
93.08%-191K
--0
----
----
Cash from discontinued financing activities
Financing cash flow
24.39%-47.75M
-18.36%-240.29M
45.23%-51.51M
-19.19%-47.65M
-171.75%-77.99M
-56.67%-63.15M
-303.65%-203.02M
-282.78%-94.04M
-58.70%-39.97M
-118.39%-28.7M
Net cash flow
Beginning cash position
-40.24%260.34M
35.07%435.65M
-36.58%361.89M
-15.18%528.89M
-3.08%453.29M
35.07%435.65M
-25.55%322.54M
38.71%570.59M
21.98%623.56M
36.31%467.71M
Current changes in cash
583.61%128.57M
-259.82%-177.07M
25.43%-101.74M
-225.53%-168.12M
-52.14%73.98M
-86.97%18.81M
198.97%110.79M
-46.07%-136.44M
47.25%-51.64M
-8.97%154.58M
Effect of exchange rate changes
138.78%453K
-24.12%1.76M
-87.39%189K
184.54%1.12M
27.52%1.62M
-233.18%-1.17M
79.97%2.32M
-67.39%1.5M
32.21%-1.33M
173.38%1.27M
End cash Position
-14.10%389.36M
-40.24%260.34M
-40.24%260.34M
-36.58%361.89M
-15.18%528.89M
-3.08%453.29M
35.07%435.65M
35.07%435.65M
38.71%570.59M
21.98%623.56M
Free cash from
136.74%145.7M
-116.62%-43.9M
-71.06%-137.72M
-458.84%-121.11M
-15.60%153.4M
-66.66%61.54M
225.57%264.18M
-18.16%-80.51M
70.20%-21.67M
1,167.57%181.76M
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)Jan 31, 2025(FY)Oct 31, 2024(Q4)Oct 31, 2024(Q3)Jul 31, 2024(Q2)Apr 30, 2024(Q1)Jan 31, 2024(FY)Oct 31, 2023(Q4)Oct 31, 2023(Q3)Jul 31, 2023(Q2)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 52.28%168.58M-70.58%94.67M-91.81%-108.11M-1,109.68%-91.14M-3.85%183.22M-43.26%110.7M280.91%321.75M6.16%-56.36M87.99%-7.53M673.37%190.56M
Net income from continuing operations -100.95%-122.53M-350.85%-114.03M1,190.36%41.23M-169.62%-39.89M-86.38%-54.39M-7.71%-60.98M94.32%-25.29M102.53%3.2M153.82%57.3M70.31%-29.18M
Operating gains losses 385.89%39.08M-150.66%-4.74M-451.90%-11.41M109.78%1.64M-33.43%18.7M-161.58%-13.67M-83.47%9.35M-94.34%3.24M-104.26%-16.75M186.32%28.09M
Depreciation and amortization 25.52%62.97M19.06%221.87M26.29%61.55M3.09%55.41M28.03%54.75M22.03%50.16M20.84%186.36M15.84%48.73M40.81%53.75M17.16%42.76M
Asset impairment expenditure --0---3.11M--0--0--0---3.11M--0--0--0--0
Remuneration paid in stock 125.13%49K-119.41%-46K-21.88%50K-19.67%49K-10.71%50K-448.21%-195K64.58%237K14.29%64K103.33%61K93.10%56K
Deferred tax 121.38%99K3,083.53%2.71M3,140.91%2.68M23.54%782K-82.91%-289K-53.31%-463K108.72%85K90.97%-88K--633K---158K
Other non cashItems 9.06%11.83M-72.99%15.48M-172.60%-17.56M0.76%11.28M3.68%10.91M-4.98%10.85M24.84%57.31M103.42%24.18M-4.47%11.19M204.09%10.52M
Change In working capital 38.23%177.09M-125.03%-23.45M-36.08%-184.65M-5.87%-120.4M10.85%153.49M-37.40%128.11M706.98%93.71M-207.43%-135.69M-5,696.56%-113.72M59.74%138.47M
-Change in other working capital 38.23%177.09M-125.03%-23.45M-36.08%-184.65M-5.87%-120.4M10.85%153.49M-37.40%128.11M706.98%93.71M-207.43%-135.69M-5,696.56%-113.72M59.74%138.47M
Cash from discontinued investing activities
Operating cash flow 52.28%168.58M-70.58%94.67M-91.81%-108.11M-1,109.68%-91.14M-3.85%183.22M-43.26%110.7M280.91%321.75M6.16%-56.36M87.99%-7.53M673.37%190.56M
Investing cash flow
Cash flow from continuing investing activities 126.91%7.73M-296.36%-31.45M314.54%57.87M-609.21%-29.33M-329.28%-31.25M-174.26%-28.75M76.51%-7.94M258.97%13.96M58.61%-4.14M32.89%-7.28M
Net PPE purchase and sale 53.46%-22.88M11.27%-51.08M337.01%57.23M-107.48%-29.33M-238.80%-29.82M-369.03%-49.16M-76.96%-57.57M-199.03%-24.15M-41.49%-14.14M14.55%-8.8M
Net business purchase and sale -----57.57%20.41M--0--0--0----6,904.81%48.11M--38.11M--10M--0
Net investment purchase and sale --0------------------20.41M----------------
Net other investing changes --30.62M-151.48%-784K--642K-----193.63%-1.43M----379.45%1.52M--0----379.45%1.52M
Cash from discontinued investing activities
Investing cash flow 126.91%7.73M-296.36%-31.45M314.54%57.87M-609.21%-29.33M-329.28%-31.25M-174.26%-28.75M76.51%-7.94M258.97%13.96M58.61%-4.14M32.89%-7.28M
Financing cash flow
Cash flow from continuing financing activities 24.39%-47.75M-18.36%-240.29M45.23%-51.51M-19.19%-47.65M-171.75%-77.99M-56.67%-63.15M-303.65%-203.02M-282.78%-94.04M-58.70%-39.97M-118.39%-28.7M
Net issuance payments of debt 25.77%-47.18M-18.56%-242.28M44.94%-51.98M-19.41%-48.25M-169.86%-78.48M-57.11%-63.56M-301.26%-204.36M-281.67%-94.41M-76.36%-40.41M-118.67%-29.08M
Net common stock issuance 18.84%492K30.28%1.99M28.61%472K39.49%604K29.35%498K21.41%414K67.32%1.53M16.88%367K28.49%433K47.51%385K
Net other financing activities ---1.06M--------------------93.08%-191K--0--------
Cash from discontinued financing activities
Financing cash flow 24.39%-47.75M-18.36%-240.29M45.23%-51.51M-19.19%-47.65M-171.75%-77.99M-56.67%-63.15M-303.65%-203.02M-282.78%-94.04M-58.70%-39.97M-118.39%-28.7M
Net cash flow
Beginning cash position -40.24%260.34M35.07%435.65M-36.58%361.89M-15.18%528.89M-3.08%453.29M35.07%435.65M-25.55%322.54M38.71%570.59M21.98%623.56M36.31%467.71M
Current changes in cash 583.61%128.57M-259.82%-177.07M25.43%-101.74M-225.53%-168.12M-52.14%73.98M-86.97%18.81M198.97%110.79M-46.07%-136.44M47.25%-51.64M-8.97%154.58M
Effect of exchange rate changes 138.78%453K-24.12%1.76M-87.39%189K184.54%1.12M27.52%1.62M-233.18%-1.17M79.97%2.32M-67.39%1.5M32.21%-1.33M173.38%1.27M
End cash Position -14.10%389.36M-40.24%260.34M-40.24%260.34M-36.58%361.89M-15.18%528.89M-3.08%453.29M35.07%435.65M35.07%435.65M38.71%570.59M21.98%623.56M
Free cash from 136.74%145.7M-116.62%-43.9M-71.06%-137.72M-458.84%-121.11M-15.60%153.4M-66.66%61.54M225.57%264.18M-18.16%-80.51M70.20%-21.67M1,167.57%181.76M
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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