CT Real Estate Investment Trust financials at a glance

Year Year 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
C$126.05M C$344.79M C$378.18M C$407.17M C$443.30M C$472.48M C$489.01M C$502.35M C$514.54M C$532.80M C$552.77M C$0.00M
GM % Gross Margin %
78.15% 77.76% 77.03% 76.33% 77.83% 77.01% 78.31% 77.95% 79.15% 79.14% 79.10% 0.00%
OM Operating Margin
74.62% 75.32% 74.48% 73.79% 75.34% 74.43% 75.38% 75.36% 76.31% 76.42% 76.34% 0.00%
EPS Earnings Per Share
C$0.97 C$1.04 C$1.07 C$1.12 C$1.15 C$1.18 C$1.19 C$1.24 C$1.26 C$1.31
Div. Dividends
C$0.00 C$0.65 C$0.66 C$0.68 C$0.70 C$0.73 C$0.76 C$0.79 C$0.82 C$0.86 C$0.88 C$0.00
PR % Payout Ratio %
0 67.01% 63.46% 63.55% 62.50% 63.48% 64.41% 66.39% 66.13% 68.25% 67.18% 0
Sha. Shares
86.06m 181.46m 189.58m 206.83m 213.71m 220.22m 227.26m 229.13m 230.97m 233.16m 0m 235.63m
OCF Operating Cash Flow
C$79.55M C$233.79M C$265.17M C$275.58M C$317.15M C$331.72M C$362.33M C$370.77M C$407.20M C$399.27M C$425.06M C$0.00M
FCF Free Cash Flow
C$0.00M C$0.00M C$0.00M C$254.16M C$0.00M C$0.00M C$200.46M C$208.08M C$275.11M C$63.00M C$79.00M C$0.00M
FCFS Free Cash Flow Per Share
C$0.44 C$1.29 C$1.41 C$1.37 C$1.50 C$1.54 C$1.63 C$1.62 C$1.75 C$1.71 C$1.81 C$0.00