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CP · CANADIAN PACIFIC KANSAS CITY LTD/CN
CPNYSECommon stockCurrentCIK 16875Updated Sep 24, 2026
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CPKC to report fourth-quarter and full-year 2025 earnings results on Jan. 28, 2026 News provided by CPKC Dec 29, 2025, 11:00 ET Share this article Share to X Share this article Share to X CALGARY, AB , Dec. 29, 2025 Canadian Pacific Kansas City (TSX: CP) (NYSE: CP ) (CPKC) will release its fourth-qu ↗
Recent filings
Other Events
Items 8.01, 9.01
10-Q filing
Departure of Directors or Certain Officers; Election of Directors; Appointment of Certain Officers; Compensatory Arrangements · Regulation FD Disclosure
Items 5.02, 7.01, 9.01
Results of Operations and Financial Condition
Items 2.02, 9.01
Entry into a Material Definitive Agreement
Items 1.01, 9.01
Show 5 more recent filings
11-K filing
Submission of Matters to a Vote of Security Holders · Other Events
Items 5.07, 8.01, 9.01
10-Q filing
Results of Operations and Financial Condition
Items 2.02, 9.01
Other Events
Items 8.01, 9.01
Financials
FY 2025 · CADSource
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balance sheet · annual statements
| Line item | FY 2025 | FY 2024 | FY 2023 | FY 2022 |
|---|---|---|---|---|
| ASSETS | ||||
| AssetsCAD | 85,945,000,000Source | 87,744,000,000Source | 79,902,000,000Source | 73,495,000,000Source |
| Property, Plant and Equipment, NetCAD | — | — | 51,744,000,000Source | — |
| GoodwillCAD | 18,436,000,000Source | 19,350,000,000Source | 17,729,000,000Source | 344,000,000Source |
| Intangible Assets, Net (Excluding Goodwill)CAD | 2,911,000,000Source | 3,146,000,000Source | 2,974,000,000Source | — |
| Current assets: | ||||
| Cash and Cash Equivalents, at Carrying ValueCAD | 184,000,000Source | 739,000,000Source | 464,000,000Source | 451,000,000Source |
| Accounts Receivable, after Allowance for Credit Loss, CurrentCAD | 2,029,000,000Source | 1,968,000,000Source | 1,887,000,000Source | 1,016,000,000Source |
| Assets, CurrentCAD | 2,939,000,000Source | 3,384,000,000Source | 3,002,000,000Source | 1,889,000,000Source |
| Operating Lease, Right-of-Use AssetCAD | 422,000,000Source | 364,000,000Source | 347,000,000Source | 267,000,000Source |
| Other Assets, NoncurrentCAD | 734,000,000Source | 668,000,000Source | 582,000,000Source | 420,000,000Source |
| LIABILITIES AND EQUITY | ||||
| LiabilitiesCAD | 39,120,000,000Source | 38,854,000,000Source | 37,491,000,000Source | 34,609,000,000Source |
| Stockholders’ equity: | ||||
| Common Stock, Value, IssuedCAD | 24,751,000,000Source | 25,689,000,000Source | 25,602,000,000Source | 25,516,000,000Source |
| Retained Earnings (Accumulated Deficit)CAD | 19,783,000,000Source | 19,429,000,000Source | 16,420,000,000Source | 13,201,000,000Source |
| Accumulated Other Comprehensive Income (Loss), Net of TaxCAD | 1,238,000,000Source | 2,680,000,000Source | -618,000,000Source | 91,000,000Source |
| Stockholders' Equity Attributable to ParentCAD | 45,877,000,000Source | 47,892,000,000Source | 41,492,000,000Source | 38,886,000,000Source |
| Additional Paid in Capital, Common StockCAD | 105,000,000Source | 94,000,000Source | 88,000,000Source | 78,000,000Source |
| Liabilities and EquityCAD | 85,945,000,000Source | 87,744,000,000Source | 79,902,000,000Source | 73,495,000,000Source |
| Current liabilities: | ||||
| Liabilities, CurrentCAD | 5,991,000,000Source | 5,661,000,000Source | 5,710,000,000Source | 3,213,000,000Source |
| Operating Lease, Liability, CurrentCAD | 111,000,000Source | 112,000,000Source | 102,000,000Source | 68,000,000Source |
| Operating Lease, Liability, NoncurrentCAD | 299,000,000Source | 254,000,000Source | 242,000,000Source | 202,000,000Source |
| Deferred Income Tax Liabilities, NetCAD | 11,829,000,000Source | 11,974,000,000Source | 11,052,000,000Source | 12,197,000,000Source |
| Other Liabilities, NoncurrentCAD | 815,000,000Source | 867,000,000Source | 797,000,000Source | 520,000,000Source |
| Stockholders' Equity Attributable to Noncontrolling InterestCAD | 948,000,000Source | 998,000,000Source | 919,000,000Source | — |
| Additional Financial Items | ||||
| Accounts Receivable, after Allowance for Credit LossCAD | 2,029,000,000Source | 1,968,000,000Source | 1,887,000,000Source | 1,016,000,000Source |
| Accrued Liabilities, CurrentCAD | 597,000,000Source | 732,000,000Source | 667,000,000Source | 284,000,000Source |
| Accumulated Other Comprehensive (Income) Loss, Defined Benefit Plan, after TaxCAD | -602,000,000Source | -738,000,000Source | -1,463,000,000Source | — |
| Deferred Revenue, NoncurrentCAD | 22,000,000Source | 20,000,000Source | 16,000,000Source | 39,000,000Source |
| Deferred Tax Liabilities, NetCAD | 11,829,000,000Source | 11,974,000,000Source | 11,052,000,000Source | 12,197,000,000Source |
| Dividends Payable, CurrentCAD | 204,000,000Source | 177,000,000Source | 177,000,000Source | 177,000,000Source |
cash flow · annual statements
| Line item | FY 2025 | FY 2024 | FY 2023 | FY 2022 |
|---|---|---|---|---|
| Cash flows from operating activities: | ||||
| Net Income (Loss), Including Portion Attributable to Noncontrolling InterestCAD | 4,137,000,000Source | 3,713,000,000Source | 3,923,000,000Source | — |
| Adjustments to reconcile net income to net cash provided by operating activities: | ||||
| Depreciation, Depletion and AmortizationCAD | 2,019,000,000Source | 1,900,000,000Source | 1,543,000,000Source | 853,000,000Source |
| Changes in operating assets and liabilities: | ||||
| Increase (Decrease) in Accounts ReceivableCAD | -32,000,000Source | 133,000,000Source | 317,000,000Source | 147,000,000Source |
| Deferred Income Tax Expense (Benefit)CAD | 171,000,000Source | 28,000,000Source | -7,885,000,000Source | 136,000,000Source |
| Net Cash Provided by (Used in) Operating ActivitiesCAD | 5,309,000,000Source | 5,269,000,000Source | 4,137,000,000Source | 4,142,000,000Source |
| Cash flows from investing activities: | ||||
| Payments to Acquire Businesses, Net of Cash AcquiredCAD | — | — | — | 0Source |
| Net Cash Provided by (Used in) Investing ActivitiesCAD | -2,665,000,000Source | -2,796,000,000Source | -2,162,000,000Source | -1,496,000,000Source |
| Payments for (Proceeds from) Other Investing ActivitiesCAD | 76,000,000Source | -3,000,000Source | 25,000,000Source | -3,000,000Source |
| Payments to Acquire Property, Plant, and EquipmentCAD | 3,102,000,000Source | 2,825,000,000Source | 2,468,000,000Source | 1,557,000,000Source |
| Cash flows from financing activities: | ||||
| Payments for Repurchase of Common StockCAD | 3,942,000,000Source | — | — | 0Source |
| Net Cash Provided by (Used in) Financing ActivitiesCAD | -3,146,000,000Source | -2,252,000,000Source | -1,955,000,000Source | -2,297,000,000Source |
| Payments of Ordinary Dividends, Common StockCAD | 796,000,000Source | 709,000,000Source | 707,000,000Source | 707,000,000Source |
| Proceeds from (Payments for) Other Financing ActivitiesCAD | -8,000,000Source | 2,000,000Source | 0Source | 0Source |
| Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate EffectCAD | -555,000,000Source | 275,000,000Source | 13,000,000Source | 369,000,000Source |
| Cash, Cash Equivalents, Restricted Cash and Restricted Cash EquivalentsCAD | 184,000,000Source | 739,000,000Source | 464,000,000Source | 451,000,000Source |
| Supplemental disclosure of cash flow information: | ||||
| Interest Paid, Excluding Capitalized Interest, Operating ActivitiesCAD | 863,000,000Source | 814,000,000Source | 825,000,000Source | 641,000,000Source |
| Income Taxes Paid, NetCAD | 1,155,000,000Source | 958,000,000Source | 906,000,000Source | 408,000,000Source |
| Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash and Restricted Cash EquivalentsCAD | -53,000,000Source | 54,000,000Source | -7,000,000Source | 20,000,000Source |
| Additional Financial Items | ||||
| Share-based Payment Arrangement, ExpenseCAD | 59,000,000Source | 108,000,000Source | 122,000,000Source | 113,000,000Source |
| Amortization of Intangible AssetsCAD | 87,000,000Source | 85,000,000Source | 61,000,000Source | 3,000,000Source |
| Dividends Payable, CurrentCAD | 204,000,000Source | 177,000,000Source | 177,000,000Source | 177,000,000Source |
| Environmental Remediation ExpenseCAD | 9,000,000Source | 8,000,000Source | 8,000,000Source | 8,000,000Source |
| Equity Method Investment, Realized Gain (Loss) on DisposalCAD | 333,000,000Source | — | — | — |
| Foreign Currency Transaction Gain (Loss), before TaxCAD | — | — | — | 0Source |
| Gain (Loss) on Extinguishment of DebtCAD | — | 22,000,000Source | — | — |
| GoodwillCAD | 18,436,000,000Source | 19,350,000,000Source | 17,729,000,000Source | 344,000,000Source |
| Income (Loss) from Equity Method InvestmentsCAD | 0Source | 0Source | 230,000,000Source | 1,074,000,000Source |
| Income Tax Expense (Benefit)CAD | 1,345,000,000Source | 1,059,000,000Source | -6,976,000,000Source | 628,000,000Source |
| Net Income (Loss) Attributable to ParentCAD | 4,141,000,000Source | 3,718,000,000Source | 3,927,000,000Source | 3,517,000,000Source |
| Net Income (Loss) Attributable to Noncontrolling InterestCAD | -4,000,000Source | -5,000,000Source | -4,000,000Source | — |
| Other Nonoperating Income (Expense)CAD | 1,000,000Source | 42,000,000Source | -52,000,000Source | -17,000,000Source |
| Payments of Financing CostsCAD | 0Source | 0Source | 17,000,000Source | 0Source |
| Pension Expense (Reversal of Expense), NoncashCAD | -367,000,000Source | -305,000,000Source | -306,000,000Source | -288,000,000Source |
| Proceeds from Issuance of Common StockCAD | 73,000,000Source | 69,000,000Source | 69,000,000Source | 32,000,000Source |
income statement · annual statements
| Line item | FY 2025 | FY 2024 | FY 2023 | FY 2022 |
|---|---|---|---|---|
| Total RevenueCAD | 14,969,000,000Source | 14,414,000,000Source | 12,442,000,000Source | 8,730,000,000Source |
| Operating Income (Loss)CAD | 5,609,000,000Source | 5,179,000,000Source | 4,388,000,000Source | 3,329,000,000Source |
| Other Nonoperating Income (Expense)CAD | 1,000,000Source | 42,000,000Source | -52,000,000Source | -17,000,000Source |
| Income (Loss) from Continuing Operations before Income Taxes, Noncontrolling InterestCAD | 5,482,000,000Source | 4,772,000,000Source | -3,053,000,000Source | 4,145,000,000Source |
| Income Tax Expense (Benefit)CAD | 1,345,000,000Source | 1,059,000,000Source | -6,976,000,000Source | 628,000,000Source |
| Net Income (Loss) Attributable to Noncontrolling InterestCAD | -4,000,000Source | -5,000,000Source | -4,000,000Source | — |
| Net Income (Loss) Attributable to ParentCAD | 4,141,000,000Source | 3,718,000,000Source | 3,927,000,000Source | 3,517,000,000Source |
| Earnings Per Share, BasicCAD/shares | 4.52Source | 3.98Source | 4.22Source | 3.78Source |
| Earnings Per Share, DilutedCAD/shares | 4.51Source | 3.98Source | 4.21Source | 3.77Source |
| Weighted Average Number of Shares Outstanding, Basicshares | 916,200,000Source | 933,000,000Source | 931,300,000Source | 930,000,000Source |
| Weighted Average Number of Shares Outstanding, Dilutedshares | 917,100,000Source | 934,600,000Source | 933,700,000Source | 932,900,000Source |
| Additional Financial Items | ||||
| Amortization of Intangible AssetsCAD | 87,000,000Source | 85,000,000Source | 61,000,000Source | 3,000,000Source |
| Business Combination, Acquisition Related CostsCAD | — | — | 190,000,000Source | 0Source |
| Common Stock, Dividends, Per Share, DeclaredCAD/shares | 0.87Source | 0.76Source | 0.76Source | 0.76Source |
| Costs and ExpensesCAD | 9,469,000,000Source | 9,367,000,000Source | 8,167,000,000Source | 5,485,000,000Source |
| Current Income Tax Expense (Benefit)CAD | 1,174,000,000Source | 1,031,000,000Source | 909,000,000Source | 492,000,000Source |
| Environmental Remediation ExpenseCAD | 9,000,000Source | 8,000,000Source | 8,000,000Source | 8,000,000Source |
| Foreign Currency Transaction Gain (Loss), before TaxCAD | — | — | — | 0Source |
| Fuel CostsCAD | 1,731,000,000Source | 1,802,000,000Source | 1,681,000,000Source | 1,400,000,000Source |
| Income (Loss) from Continuing Operations before Income Taxes, DomesticCAD | 2,495,000,000Source | 2,426,000,000Source | 2,359,000,000Source | 2,236,000,000Source |
| Income (Loss) from Equity Method InvestmentsCAD | 0Source | 0Source | 230,000,000Source | 1,074,000,000Source |
| Interest Income (Expense), Nonoperating, NetCAD | -876,000,000Source | -801,000,000Source | — | — |
| Interest Revenue (Expense), NetCAD | — | — | -771,000,000Source | -652,000,000Source |
| Labor and Related ExpenseCAD | 2,581,000,000Source | 2,565,000,000Source | 2,332,000,000Source | 1,570,000,000Source |
| Lease IncomeCAD | 109,000,000Source | 132,000,000Source | 113,000,000Source | 84,000,000Source |
| Net Periodic Defined Benefits Expense (Reversal of Expense), Excluding Service Cost ComponentCAD | -415,000,000Source | -352,000,000Source | -327,000,000Source | -411,000,000Source |
Filing attachments
d153278dex991.htm · 8-K · 2026-07-30
EX-99.1 2 d153278dex991.htm EX-99.1 EX-99.1 Exhibit 99.1 Release: July 29, 2026 Canadian Pacific Kansas City Limited declares dividend Calgary - The Board of Directors of Canadian Pacific Kansas City Limited (TSX: CP) (NYSE: CP) (CPKC) today declared a quarterly dividend of $0.268 per share on the outstanding Common Shares. The dividend is payable on October 26, 2026, to holders of record at the close of business on September 25, 2026, and is an “eligible” dividend for purposes of the …
Read attachment ↗d112154dex991.htm · 8-K · 2026-07-29
EX-99.1 2 d112154dex991.htm EX-99.1 EX-99.1 Exhibit 99.1 Release: July 29, 2026 CPKC Announces Retirement of Board Chair Isabelle Courville; Vice-Chair Gordon Trafton Appointed Chair of the Board Calgary - Canadian Pacific Kansas City (TSX: CP) (NYSE: CP) (CPKC) today announced the retirement of Board of Directors Chair Isabelle Courville and the appointment, in accordance with the Board’s succession plan, of long-term board member Gordon Trafton as Chair, effective immediately. Ms. Cou…
Read attachment ↗d125479dex991.htm · 8-K · 2026-04-30
EX-99.1 2 d125479dex991.htm EX-99.1 EX-99.1 Exhibit 99.1 Release: April 29, 2026 CPKC announces results of director elections Calgary - Canadian Pacific Kansas City (TSX: CP) (NYSE: CP) (CPKC) today announced the results of the 2026 annual meeting held earlier today, including the election of all 14 nominees listed in the management proxy circular dated March 10, 2026, as directors of CPKC. All directors received at least 95.84 percent of votes cast. Isabelle Courville, upon her re-elec…
Read attachment ↗d127614dex991.htm · 8-K · 2026-04-29
EX-99.1 2 d127614dex991.htm EX-99.1 EX-99.1 Exhibit 99.1 Release: April 28, 2026 CPKC increases dividend by 17.5 percent Calgary - The Board of Directors of Canadian Pacific Kansas City Limited (TSX: CP) (NYSE: CP) (CPKC) today declared a quarterly dividend of $0.268 per share on the outstanding Common Shares, an increase of 17.5 percent to the previous dividend of $0.228 per share. “We are pleased to announce an increase to our dividend as part of our ongoing commitment to returning …
Read attachment ↗d13199dex991.htm · 8-K · 2026-03-25
EX-99.1 2 d13199dex991.htm EX-99.1 EX-99.1 Exhibit 99.1 2026 NOTICE OF ANNUAL MEETING AND MANAGEMENT PROXY CIRCULAR13199- 2026 MANAGEMENT PROXY CIRCULAR TABLE OF CONTENTS PART I Notice of Annual Meeting and Executive Summary Notice of 2026 Annual Meeting of Shareholders 1 About the Information in this Proxy Circular 2 Message from the Chair of the Board 6 Proxy Highlights …
Read attachment ↗d13199dex992.htm · 8-K · 2026-03-25
EX-99.2 3 d13199dex992.htm EX-99.2 EX-99.2 Exhibit 99.2 Notice of Availability of Materials 2026 Annual Meeting of Shareholders Notice and access Throughout this notice, “CPKC”, “we”, “our” and the “Company” refer to Canadian Pacific Kansas City Limited, and “you”, “your” and “shareholder” refer to a shareholder of CPKC. You are receiving this notice because CPKC is using notice and access to deliver you our management proxy circular (proxy circular) and other proxy-related mat…
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