CAE Key Executives

This section highlights CAE's key executives, including their titles and compensation details.

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CAE Earnings

This section highlights CAE's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.

Next Earnings Date

Date: May 26, 2025
Time: Before Market
Est. EPS: $0.32
Status: Unconfirmed

Last Earnings Results

Date: February 13, 2025
EPS: $0.21
Est. EPS: $0.20
Revenue: $1.22B

Earnings Call Transcripts

Transcript Quarter Year Date Estimated EPS Actual EPS
Read Transcript Q3 2025 2025-02-14 N/A N/A
Read Transcript Q2 2025 2024-11-13 N/A N/A
Read Transcript Q1 2025 2024-08-14 N/A N/A
Read Transcript Q4 2024 2024-05-28 N/A N/A
Read Transcript Q3 2024 2024-02-14 $0.18 $0.18
Read Transcript Q2 2024 2023-11-14 $0.15 $0.20
Read Transcript Q1 2024 2023-08-09 $0.15 $0.18
Read Transcript Q4 2023 2023-05-31 $0.26 $0.26
Read Transcript Q3 2023 2023-02-18 N/A N/A
Read Transcript Q2 2023 2022-11-10 $0.12 $0.15
Read Transcript Q1 2023 2022-08-10 $0.18 $0.05

CAE Inc. (CAE)

CAE Inc., together with its subsidiaries, provides simulation training and critical operations support solutions worldwide. It operates through three segments: Civil Aviation, Defense and Security, and Healthcare. The Civil Aviation segment provides training solutions for flight, cabin, maintenance, and ground personnel in commercial, business, and helicopter aviation; flight simulation training devices; and ab initio pilot training and crew sourcing services, as well as end to end digitally enabled crew management, training operations solutions, and optimization software. The Defense and Security segment offers training and mission support solutions for defense forces across multi-domain operations, OEMs, government agencies and public safety organizations. The Healthcare segment provides integrated education and training solutions, including interventional and imaging simulations, curricula, audiovisual debriefing solutions, center management platforms, and patient simulators for healthcare students and clinical professionals, hospital and university simulation centers, medical and nursing schools, paramedic organizations, defense forces, medical societies, public health agencies and OEMs. The company was formerly known as CAE Industries Ltd. and changed its name to CAE Inc. in 1993. CAE Inc. was incorporated in 1947 and is headquartered in Saint-Laurent, Canada.

Industrials Aerospace & Defense

$25.14

Stock Price

$8.04B

Market Cap

-

Employees

Saint-Laurent, QC

Location

Financial Statements

Access annual & quarterly financial statements for CAE, including income statements, balance sheets, and cash flow statements..

Annual Income Statement

Breakdown March 31, 2024 March 31, 2023 March 31, 2022 March 31, 2021 March 31, 2020
Revenue $4.28B $4.20B $3.37B $2.98B $3.62B
Cost of Revenue $3.13B $3.04B $2.42B $2.22B $2.54B
Gross Profit $1.15B $1.17B $955.50M $765.00M $1.08B
Gross Profit Ratio 27.00% 27.75% 28.30% 25.65% 29.91%
Research and Development Expenses $149.80M $143.10M $120.80M $104.70M $137.50M
General and Administrative Expenses $536.80M $560.90M $489.10M $398.90M $437.50M
Selling and Marketing Expenses $- $- $- $- $-
Selling General and Administrative Expenses $536.80M $560.90M $489.10M $398.90M $437.50M
Other Expenses $653.30M $22.80M $900.00K $-5.40M $10.10M
Operating Expenses $1.34B $704.00M $586.10M $503.60M $585.10M
Cost and Expenses $4.47B $3.74B $3.00B $2.72B $3.12B
Interest Income $11.00M $10.30M $9.10M $10.60M $8.30M
Interest Expense $180.20M $177.70M $113.00M $118.70M $124.80M
Depreciation and Amortization $374.80M $324.10M $304.90M $314.20M $300.40M
EBITDA $164.60M $785.90M $577.10M $351.00M $822.90M
EBITDA Ratio 3.84% 20.95% 21.11% 18.82% 22.41%
Operating Income $-185.40M $474.00M $284.20M $48.40M $537.10M
Operating Income Ratio -4.33% 11.28% 8.43% 1.62% 14.82%
Total Other Income Expenses Net $-205.00M $-173.60M $-130.60M $-135.60M $-144.40M
Income Before Tax $-390.40M $296.30M $153.60M $-87.20M $392.70M
Income Before Tax Ratio -9.12% 7.05% 4.56% -2.92% 10.84%
Income Tax Expense $-72.80M $64.40M $3.60M $-39.70M $73.80M
Net Income $-304.00M $222.70M $141.70M $-47.20M $311.40M
Net Income Ratio -7.10% 5.30% 4.20% -1.58% 8.59%
EPS $-1.09 $0.70 $0.46 $-0.17 $1.17
EPS Diluted $-1.02 $0.70 $0.45 $-0.17 $1.16
Weighted Average Shares Outstanding 297.36M 317.66M 311.02M 272.01M 265.95M
Weighted Average Shares Outstanding Diluted 318.19M 318.42M 312.90M 272.01M 267.60M
SEC Filing Source Source Source Source Source


Breakdown December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020 March 31, 2020
Revenue $1.22B $1.14B $1.07B $1.13B $1.09B $1.05B $1.01B $1.26B $1.02B $993.20M $933.30M $955.00M $848.70M $814.90M $752.70M $894.30M $832.40M $704.70M $550.50M $977.30M
Cost of Revenue $883.80M $845.50M $793.80M $844.80M $791.90M $765.30M $726.30M $894.70M $722.30M $719.60M $700.40M $683.40M $606.20M $587.30M $538.90M $657.20M $603.50M $513.70M $442.50M $665.60M
Gross Profit $339.60M $291.10M $278.70M $281.50M $302.60M $284.70M $285.70M $361.80M $298.00M $273.60M $232.90M $271.60M $242.50M $227.60M $213.80M $237.10M $228.90M $191.00M $108.00M $311.70M
Gross Profit Ratio 27.80% 25.60% 26.00% 25.00% 27.60% 27.10% 28.20% 28.80% 29.20% 27.50% 25.00% 28.40% 28.60% 27.90% 28.40% 26.51% 27.50% 27.10% 19.62% 31.89%
Research and Development Expenses $28.70M $37.20M $35.90M $41.70M $38.10M $33.30M $36.70M $40.00M $30.20M $32.20M $40.70M $34.90M $31.70M $30.70M $23.50M $22.50M $36.50M $25.60M $20.10M $36.20M
General and Administrative Expenses $140.20M $127.60M $- $- $- $132.30M $139.70M $149.70M $138.10M $128.00M $145.10M $143.60M $117.50M $122.10M $105.90M $111.50M $105.30M $88.20M $93.90M $107.90M
Selling and Marketing Expenses $- $- $- $- $- $- $-16.00M $- $- $- $- $- $- $- $- $- $- $- $- $-
Selling General and Administrative Expenses $140.20M $127.60M $133.50M $139.90M $140.90M $132.30M $123.70M $149.70M $138.10M $128.00M $145.10M $143.60M $117.50M $122.10M $105.90M $111.50M $105.30M $88.20M $93.90M $107.90M
Other Expenses $-91.90M $8.20M $700.00K $632.90M $2.00M $21.40M $-3.00M $10.50M $6.70M $3.20M $-100.00K $-15.20M $6.30M $4.10M $3.70M $700.00K $1.50M $2.70M $-1.70M $4.40M
Operating Expenses $77.00M $173.00M $170.10M $814.50M $181.00M $187.00M $157.40M $189.70M $168.30M $160.20M $185.80M $154.70M $149.20M $152.80M $129.40M $134.00M $141.80M $113.80M $114.00M $148.50M
Cost and Expenses $960.80M $1.02B $963.90M $1.66B $972.90M $952.30M $883.70M $1.08B $890.60M $879.80M $886.20M $838.10M $755.40M $740.10M $668.30M $791.20M $745.30M $627.50M $556.50M $814.10M
Interest Income $3.50M $- $3.40M $- $- $- $2.70M $3.60M $3.90M $3.00M $2.30M $- $- $- $2.10M $- $- $- $2.60M $2.60M
Interest Expense $50.60M $52.90M $44.10M $27.60M $52.40M $47.10M $43.90M $51.40M $48.80M $41.30M $32.50M $26.40M $34.50M $35.00M $26.80M $32.00M $33.30M $35.20M $31.80M $34.40M
Depreciation and Amortization $106.30M $100.10M $97.80M $96.20M $95.20M $91.20M $92.20M $89.40M $88.30M $81.90M $82.60M $80.90M $79.90M $78.60M $71.10M $78.50M $79.20M $76.20M $85.60M $78.50M
EBITDA $362.90M $218.20M $201.00M $-461.60M $216.80M $188.90M $211.30M $250.30M $230.40M $184.00M $122.00M $156.60M $145.40M $117.80M $157.90M $109.20M $162.10M $104.40M $-28.00M $220.90M
EBITDA Ratio 28.61% 19.20% 19.30% 17.57% 21.96% 21.10% 14.71% 16.07% 23.43% 20.80% 14.71% 18.88% 22.69% 20.78% 22.01% 11.88% 21.19% 22.07% 12.15% 23.62%
Operating Income $262.60M $118.10M $108.60M $-533.00M $121.60M $97.70M $128.30M $186.60M $145.90M $102.10M $39.40M $93.30M $65.50M $39.20M $86.20M $47.60M $82.90M $28.20M $-110.30M $146.50M
Operating Income Ratio 21.46% 10.39% 10.13% 9.03% 11.11% 9.24% 5.86% 14.85% 14.30% 10.28% 4.22% 9.77% 7.72% 4.81% 11.45% 5.32% 9.96% 4.00% -20.04% 14.99%
Total Other Income Expenses Net $-56.60M $-52.90M $-49.50M $-52.40M $-52.40M $-47.10M $-53.10M $-51.40M $-47.70M $-45.40M $-36.20M $-32.50M $-34.50M $-35.00M $-28.60M $-32.00M $-33.30M $-35.20M $-35.10M $-38.50M
Income Before Tax $206.00M $65.20M $59.10M $-585.40M $69.20M $50.60M $75.20M $135.20M $97.10M $60.80M $3.20M $60.80M $31.00M $4.20M $57.60M $15.60M $49.60M $-7.00M $-145.40M $108.00M
Income Before Tax Ratio 16.84% 5.74% 5.51% -54.16% 6.32% 4.83% 0.34% 10.76% 9.52% 6.12% 0.34% 6.37% 3.65% 0.52% 7.65% 1.74% 5.96% -0.99% -26.41% 11.05%
Income Tax Expense $34.80M $10.40M $8.30M $-80.60M $8.20M $-8.30M $7.90M $33.30M $17.10M $14.50M $-500.00K $3.70M $2.60M $-13.00M $10.30M $-3.20M $-100.00K $-1.00M $-35.40M $26.90M
Net Income $168.60M $52.50M $48.30M $-484.20M $56.50M $58.40M $65.30M $98.40M $78.10M $44.50M $1.70M $55.10M $26.20M $14.00M $46.40M $19.80M $48.80M $-5.20M $-110.60M $78.40M
Net Income Ratio 13.78% 4.62% 4.50% -44.46% 5.16% 5.37% 0.40% 7.83% 7.65% 4.48% 0.18% 5.77% 3.09% 1.72% 6.16% 2.21% 5.86% -0.74% -20.09% 8.02%
EPS $0.53 $0.16 $0.15 $-1.57 $0.18 $0.18 $0.01 $0.31 $0.25 $0.14 $0.01 $0.17 $0.08 $0.04 $0.16 $0.07 $0.18 $-0.02 $-0.42 $0.29
EPS Diluted $0.53 $0.16 $0.15 $-1.57 $0.18 $0.18 $0.01 $0.31 $0.25 $0.14 $0.01 $0.17 $0.08 $0.04 $0.16 $0.07 $0.18 $-0.02 $-0.42 $0.29
Weighted Average Shares Outstanding 319.02M 328.12M 322.00M 318.30M 318.28M 318.19M 317.99M 317.91M 317.85M 317.81M 317.67M 316.21M 316.90M 350.00M 293.60M 282.86M 271.11M 260.00M 263.33M 267.39M
Weighted Average Shares Outstanding Diluted 319.82M 319.06M 318.80M 318.30M 319.08M 319.17M 318.81M 317.91M 318.30M 317.86M 318.20M 323.75M 327.50M 350.00M 295.79M 282.86M 271.11M 265.80M 265.66M 267.39M
SEC Filing Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source

Annual Balance Sheet

Breakdown March 31, 2024 March 31, 2023 March 31, 2022 March 31, 2021 March 31, 2020
Cash and Cash Equivalents $160.10M $217.60M $346.10M $926.10M $946.50M
Short Term Investments $- $- $- $- $-
Cash and Short Term Investments $160.10M $217.60M $346.10M $926.10M $946.50M
Net Receivables $1.06B $1.22B $1.09B $1.02B $1.17B
Inventory $573.60M $583.40M $519.80M $647.80M $616.20M
Other Current Assets $212.20M $215.40M $194.40M $931.80M $163.50M
Total Current Assets $2.01B $2.23B $2.15B $3.38B $2.81B
Property Plant Equipment Net $3.06B $2.81B $2.50B $2.28B $2.55B
Goodwill $1.97B $2.66B $2.46B $1.17B $1.09B
Intangible Assets $1.01B $1.39B $1.33B $882.60M $971.20M
Goodwill and Intangible Assets $2.98B $4.05B $3.80B $2.06B $2.06B
Long Term Investments $588.80M $530.70M $454.00M $422.20M $460.60M
Tax Assets $233.30M $125.10M $117.40M $104.90M $84.50M
Other Non-Current Assets $959.40M $680.90M $560.20M $509.00M $523.50M
Total Non-Current Assets $7.83B $8.20B $7.43B $5.37B $5.67B
Other Assets $- $- $- $- $-
Total Assets $9.83B $10.44B $9.58B $8.75B $8.48B
Account Payables $561.70M $527.80M $436.20M $467.70M $545.40M
Short Term Debt $308.90M $214.60M $241.80M $216.30M $206.20M
Tax Payables $31.10M $21.10M $22.70M $16.20M $26.40M
Deferred Revenue $911.70M $905.70M $804.50M $674.70M $761.40M
Other Current Liabilities $545.00M $1.48B $602.20M $1.93B $1.28B
Total Current Liabilities $2.36B $2.25B $2.09B $2.63B $2.06B
Long Term Debt $2.77B $3.04B $2.80B $2.14B $3.11B
Deferred Revenue Non-Current $- $94.00M $130.30M $108.60M $104.70M
Deferred Tax Liabilities Non-Current $- $129.30M $93.70M $123.50M $150.60M
Other Non-Current Liabilities $407.70M $565.40M $372.60M $767.10M $737.00M
Total Non-Current Liabilities $3.17B $3.60B $3.40B $2.90B $3.84B
Other Liabilities $- $- $- $- $-
Total Liabilities $5.53B $5.85B $5.49B $5.54B $5.91B
Preferred Stock $- $4.34B $4.04B $3.08B $2.30B
Common Stock $2.25B $2.24B $2.22B $1.52B $679.50M
Retained Earnings $1.76B $2.05B $1.78B $1.54B $1.59B
Accumulated Other Comprehensive Income Loss $154.00M $167.20M $-31.20M $58.10M $193.20M
Other Total Stockholders Equity $55.40M $-4.30B $-4.00B $-3.06B $-2.27B
Total Stockholders Equity $4.22B $4.51B $4.01B $3.14B $2.49B
Total Equity $4.30B $4.59B $4.09B $3.21B $2.58B
Total Liabilities and Stockholders Equity $9.83B $10.44B $9.58B $8.75B $8.48B
Minority Interest $77.70M $81.20M $76.90M $72.30M $88.60M
Total Liabilities and Total Equity $9.83B $10.44B $9.58B $8.75B $8.48B
Total Investments $588.80M $530.70M $454.00M $422.20M $460.60M
Total Debt $3.07B $3.25B $3.05B $2.35B $3.31B
Net Debt $2.91B $3.03B $2.70B $1.43B $2.37B


Balance Sheet Charts

Breakdown December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020 March 31, 2020
Cash and Cash Equivalents $302.50M $179.70M $143.20M $160.10M $124.50M $181.50M $206.00M $217.60M $191.60M $203.20M $206.00M $346.10M $463.50M $340.40M $690.50M $926.10M $619.90M $258.00M $363.30M $946.50M
Short Term Investments $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Cash and Short Term Investments $302.50M $179.70M $143.20M $160.10M $124.50M $181.50M $206.00M $217.60M $191.60M $203.20M $206.00M $346.10M $463.50M $340.40M $690.50M $926.10M $619.90M $258.00M $363.30M $946.50M
Net Receivables $1.16B $1.20B $1.18B $1.06B $1.26B $1.35B $1.31B $1.22B $1.30B $1.30B $1.31B $1.09B $1.11B $1.20B $1.06B $1.02B $984.50M $1.08B $1.09B $1.17B
Inventory $581.80M $633.80M $634.80M $573.60M $601.00M $655.80M $550.40M $583.40M $598.80M $566.30M $550.40M $519.80M $546.90M $537.60M $558.90M $647.80M $691.20M $711.60M $670.70M $616.20M
Other Current Assets $109.30M $95.60M $151.20M $212.20M $477.40M $136.00M $114.00M $215.40M $143.20M $158.60M $142.60M $194.40M $124.80M $130.60M $822.40M $931.80M $134.40M $112.20M $116.30M $163.50M
Total Current Assets $2.16B $2.11B $2.05B $2.01B $2.41B $2.28B $2.17B $2.23B $2.18B $2.17B $2.17B $2.15B $2.20B $2.16B $3.09B $3.38B $2.38B $2.13B $2.20B $2.81B
Property Plant Equipment Net $3.67B $3.25B $3.19B $3.09B $2.91B $2.89B $2.53B $2.81B $2.75B $2.64B $2.53B $2.50B $2.48B $2.47B $2.31B $2.28B $2.31B $2.32B $2.38B $2.55B
Goodwill $- $- $- $1.97B $- $- $-113.70M $2.66B $- $- $- $2.46B $- $- $1 $1.17B $- $- $- $1.09B
Intangible Assets $- $3.28B $3.29B $1.30B $3.83B $4.05B $3.99B $1.39B $4.04B $4.06B $3.87B $1.33B $3.43B $3.43B $2.07B $882.60M $2.05B $1.95B $1.97B $971.20M
Goodwill and Intangible Assets $3.87B $3.28B $3.29B $3.27B $3.83B $4.05B $3.87B $4.05B $4.04B $4.06B $3.87B $3.80B $3.43B $3.43B $2.07B $2.06B $2.05B $1.95B $1.97B $2.06B
Long Term Investments $524.30M $622.20M $610.80M $832.00M $556.40M $554.70M $463.90M $530.70M $515.20M $508.80M $463.90M $454.00M $454.80M $445.00M $423.30M $422.20M $408.50M $416.60M $428.00M $460.60M
Tax Assets $225.30M $256.30M $-3.90M $233.30M $150.90M $159.10M $111.20M $125.10M $119.10M $111.70M $111.20M $117.40M $121.70M $119.50M $118.60M $104.90M $109.10M $108.90M $105.60M $84.50M
Other Non-Current Assets $633.50M $603.00M $904.20M $399.00M $614.00M $635.30M $604.60M $680.90M $672.80M $608.70M $604.60M $560.20M $531.80M $530.60M $510.30M $509.00M $508.60M $515.70M $518.80M $523.50M
Total Non-Current Assets $8.93B $8.01B $8.00B $7.83B $8.06B $8.28B $7.59B $8.20B $8.09B $7.93B $7.59B $7.43B $7.02B $7.00B $5.43B $5.37B $5.39B $5.31B $5.41B $5.67B
Other Assets $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $0 $- $- $- $-
Total Assets $11.08B $10.13B $10.06B $9.83B $10.47B $10.57B $9.76B $10.44B $10.27B $10.10B $9.76B $9.58B $9.22B $9.15B $8.52B $8.75B $7.78B $7.44B $7.61B $8.48B
Account Payables $1.07B $955.30M $944.60M $566.40M $999.50M $997.50M $932.90M $527.80M $917.30M $890.50M $895.00M $436.20M $890.90M $796.10M $766.30M $467.70M $917.90M $871.40M $825.50M $545.40M
Short Term Debt $340.30M $487.00M $312.10M $308.90M $592.80M $424.70M $228.80M $214.60M $220.90M $243.20M $228.80M $241.80M $195.90M $205.70M $229.60M $216.30M $284.80M $229.50M $219.00M $206.20M
Tax Payables $22.30M $29.50M $26.50M $31.10M $21.20M $21.90M $27.80M $21.10M $38.20M $32.00M $27.80M $22.70M $16.70M $16.20M $18.00M $16.20M $16.90M $28.50M $25.10M $26.40M
Deferred Revenue $1.01B $978.00M $- $911.70M $906.90M $932.00M $833.80M $905.70M $971.90M $829.10M $833.80M $804.50M $698.70M $634.60M $569.60M $674.70M $654.40M $689.40M $740.50M $761.40M
Other Current Liabilities $75.40M $63.20M $1.03B $1.45B $1.06B $980.20M $861.50M $1.48B $1.06B $117.40M $899.40M $602.20M $758.20M $685.30M $1.36B $1.93B $699.70M $779.40M $820.60M $1.28B
Total Current Liabilities $2.52B $2.51B $2.31B $2.36B $2.67B $2.42B $2.05B $2.25B $2.24B $2.11B $2.05B $2.09B $1.86B $1.70B $2.38B $2.63B $1.92B $1.91B $1.89B $2.06B
Long Term Debt $3.32B $2.76B $2.96B $2.84B $2.62B $2.94B $3.00B $3.04B $3.04B $3.15B $3.00B $2.80B $2.58B $2.62B $2.13B $2.14B $2.15B $2.39B $2.55B $3.11B
Deferred Revenue Non-Current $- $- $- $99.80M $121.00M $118.90M $- $94.00M $117.20M $111.70M $103.80M $130.30M $243.60M $229.80M $258.20M $108.60M $362.60M $366.30M $376.10M $104.70M
Deferred Tax Liabilities Non-Current $42.30M $38.80M $- $36.60M $75.00M $77.60M $96.10M $129.30M $106.10M $95.50M $96.10M $93.70M $78.30M $93.70M $123.10M $123.50M $111.10M $104.10M $104.90M $150.60M
Other Non-Current Liabilities $445.10M $353.20M $376.60M $333.30M $335.70M $364.90M $547.80M $565.40M $416.30M $690.00M $444.00M $372.60M $517.30M $584.70M $506.40M $767.10M $481.10M $430.20M $452.10M $737.00M
Total Non-Current Liabilities $3.80B $3.15B $3.34B $3.17B $3.07B $3.43B $3.55B $3.60B $3.58B $3.67B $3.55B $3.40B $3.34B $3.43B $2.89B $2.90B $3.00B $3.18B $3.38B $3.84B
Other Liabilities $- $- $1 $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities $6.32B $5.66B $5.65B $5.53B $5.74B $5.85B $5.60B $5.85B $5.82B $5.78B $5.60B $5.49B $5.20B $5.13B $5.27B $5.54B $4.92B $5.09B $5.27B $5.91B
Preferred Stock $- $- $- $- $- $- $- $- $- $- $4.10B $4.04B $3.90B $3.89B $- $- $- $- $- $-
Common Stock $2.31B $2.28B $2.27B $2.25B $2.25B $2.25B $2.24B $2.24B $2.24B $2.24B $2.24B $2.22B $2.22B $2.22B $1.54B $1.52B $1.17B $682.30M $682.00M $679.50M
Retained Earnings $1.97B $1.81B $1.80B $1.76B $2.22B $2.19B $1.82B $2.05B $1.94B $1.86B $1.82B $1.78B $1.64B $1.63B $1.59B $1.54B $1.45B $1.39B $1.39B $1.59B
Accumulated Other Comprehensive Income Loss $324.90M $227.20M $181.30M $154.00M $118.40M $137.90M $-23.60M $167.20M $146.80M $97.40M $-23.60M $-31.20M $35.40M $56.70M $21.80M $58.10M $129.20M $152.10M $148.80M $193.20M
Other Total Stockholders Equity $69.00M $71.30M $67.70M $55.40M $59.30M $55.90M $-377.40M $42.10M $41.20M $40.20M $-4.06B $-4.00B $-3.87B $-3.85B $24.00M $22.50M $34.30M $34.00M $32.90M $26.90M
Total Stockholders Equity $4.67B $4.38B $4.33B $4.22B $4.65B $4.63B $4.08B $4.51B $4.37B $4.24B $4.08B $4.01B $3.94B $3.94B $3.18B $3.14B $2.78B $2.26B $2.25B $2.49B
Total Equity $4.76B $4.46B $4.41B $4.30B $4.73B $4.72B $4.15B $4.59B $4.45B $4.32B $4.15B $4.09B $4.01B $4.02B $3.25B $3.21B $2.86B $2.35B $2.34B $2.58B
Total Liabilities and Stockholders Equity $11.08B $10.13B $10.06B $9.83B $10.47B $10.57B $9.76B $10.44B $10.27B $10.10B $9.76B $9.58B $9.22B $9.15B $8.52B $8.75B $7.78B $7.44B $7.61B $8.48B
Minority Interest $85.40M $82.00M $80.70M $77.70M $79.50M $83.00M $74.70M $81.20M $81.40M $79.20M $74.70M $76.90M $76.00M $74.20M $70.30M $72.30M $78.90M $85.60M $86.80M $88.60M
Total Liabilities and Total Equity $11.08B $10.13B $10.06B $9.83B $10.47B $10.57B $9.76B $10.44B $10.27B $10.10B $9.76B $9.58B $9.22B $9.15B $8.52B $8.75B $7.78B $7.44B $7.61B $8.48B
Total Investments $524.30M $622.20M $610.80M $832.00M $556.40M $554.70M $463.90M $530.70M $515.20M $508.80M $463.90M $454.00M $454.80M $445.00M $423.30M $422.20M $408.50M $416.60M $428.00M $460.60M
Total Debt $3.66B $3.24B $3.27B $3.15B $3.21B $3.37B $3.23B $3.25B $3.26B $3.40B $3.23B $3.05B $2.77B $2.82B $2.36B $2.35B $2.44B $2.62B $2.77B $3.31B
Net Debt $3.35B $3.06B $3.13B $2.99B $3.09B $3.18B $3.03B $3.03B $3.07B $3.19B $3.03B $2.70B $2.31B $2.48B $1.67B $1.43B $1.82B $2.36B $2.41B $2.37B

Annual Cash Flow

Breakdown March 31, 2024 March 31, 2023 March 31, 2022 March 31, 2021 March 31, 2020
Net Income $-296.30M $231.90M $150.00M $-47.50M $318.90M
Depreciation and Amortization $374.80M $342.20M $310.50M $319.50M $305.40M
Deferred Income Tax $-181.30M $5.00M $-59.90M $-70.20M $11.90M
Stock Based Compensation $14.80M $-10.30M $6.40M $9.60M $14.50M
Change in Working Capital $128.10M $-114.50M $22.50M $-49.50M $-52.20M
Accounts Receivables $142.30M $4.10M $34.20M $32.60M $-39.90M
Inventory $-76.30M $-65.60M $107.30M $43.40M $-87.50M
Accounts Payables $11.00M $-54.50M $-79.50M $23.80M $22.70M
Other Working Capital $51.10M $1.50M $-39.50M $-149.30M $52.50M
Other Non Cash Items $526.80M $-45.90M $-11.30M $204.70M $-53.40M
Net Cash Provided by Operating Activities $566.90M $408.40M $418.20M $366.60M $545.10M
Investments in Property Plant and Equipment $-329.80M $-425.30M $-362.80M $-163.60M $-384.00M
Acquisitions Net $- $-17.30M $-1.91B $-204.50M $-133.50M
Purchases of Investments $- $-10.90M $-23.70M $-18.70M $-123.40M
Sales Maturities of Investments $- $10.90M $23.70M $700.00K $123.40M
Other Investing Activities $114.40M $41.90M $33.10M $42.70M $21.60M
Net Cash Used for Investing Activities $-215.40M $-400.70M $-2.24B $-343.40M $-495.90M
Debt Repayment $-403.10M $-168.70M $552.10M $-841.40M $563.00M
Common Stock Issued $7.80M $16.30M $696.10M $820.80M $26.60M
Common Stock Repurchased $- $- $- $- $-49.60M
Dividends Paid $- $- $- $- $-110.90M
Other Financing Activities $7.80M $16.10M $7.40M $-700.00K $14.30M
Net Cash Used Provided by Financing Activities $-395.30M $-152.60M $1.26B $-21.30M $443.40M
Effect of Forex Changes on Cash $-13.70M $16.40M $-16.70M $-22.30M $7.80M
Net Change in Cash $-57.50M $-128.50M $-580.00M $-20.40M $500.40M
Cash at End of Period $160.10M $217.60M $346.10M $926.10M $946.50M
Cash at Beginning of Period $217.60M $346.10M $926.10M $946.50M $446.10M
Operating Cash Flow $566.90M $408.40M $418.20M $366.60M $545.10M
Capital Expenditure $-477.70M $-425.30M $-362.80M $-163.60M $-384.00M
Free Cash Flow $89.20M $-16.90M $55.40M $203.00M $161.10M

Cash Flow Charts

Breakdown December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020 March 31, 2020
Net Income $171.20M $54.80M $48.30M $-504.70M $59.10M $61.10M $3.70M $101.90M $80.00M $46.30M $3.70M $57.10M $28.40M $17.20M $47.30M $18.80M $49.70M $-6.00M $-110.00M $81.10M
Depreciation and Amortization $106.30M $100.10M $97.80M $96.20M $95.20M $91.20M $82.60M $89.40M $88.30M $81.90M $82.60M $80.90M $79.90M $78.60M $71.10M $78.50M $79.20M $76.20M $85.60M $78.50M
Deferred Income Tax $17.20M $-6.10M $-10.60M $-126.70M $-7.50M $-29.00M $-9.40M $4.90M $8.70M $800.00K $-9.40M $-20.40M $-17.30M $-11.40M $-10.80M $-8.10M $-7.40M $-12.40M $-42.30M $-1.30M
Stock Based Compensation $2.80M $4.30M $16.30M $-3.80M $3.50M $14.20M $900.00K $-4.60M $1.00M $-3.00M $-4.80M $3.10M $5.10M $6.90M $-8.70M $7.10M $-10.40M $8.30M $4.60M $1.20M
Change in Working Capital $203.80M $44.50M $-140.10M $168.50M $72.20M $67.10M $-230.30M $22.10M $93.70M $6.00M $-230.30M $123.60M $210.40M $-47.30M $-264.20M $25.00M $109.10M $-58.30M $-125.30M $81.10M
Accounts Receivables $- $- $- $82.50M $53.80M $12.50M $-89.20M $-47.80M $-1.00M $75.50M $-89.20M $-79.80M $101.90M $13.10M $-50.30M $-49.00M $92.20M $-1.70M $44.40M $-15.50M
Inventory $- $- $- $16.20M $-10.30M $-17.50M $-40.20M $18.40M $-38.00M $-5.80M $-40.20M $14.10M $-8.80M $22.50M $79.50M $129.80M $17.80M $-39.20M $-64.30M $-2.60M
Accounts Payables $- $- $-108.20M $13.30M $27.90M $61.90M $-98.00M $116.00M $22.60M $-18.80M $-98.00M $100.40M $78.80M $-24.80M $-179.00M $-7.20M $- $- $-97.90M $67.10M
Other Working Capital $203.80M $44.50M $-31.90M $56.50M $800.00K $10.20M $-2.90M $-64.50M $110.10M $-50.90M $-2.90M $189.30M $117.30M $-82.90M $-114.40M $-48.60M $3.80M $11.70M $-7.50M $32.10M
Other Non Cash Items $-76.70M $-35.50M $-24.60M $669.10M $-1.70M $-24.40M $-4.40M $-33.10M $-20.40M $6.00M $-4.40M $-37.50M $3.10M $-13.10M $36.20M $53.30M $14.60M $37.80M $99.00M $5.70M
Net Cash Provided by Operating Activities $424.60M $162.10M $-12.90M $222.00M $220.80M $180.20M $-162.60M $180.60M $252.40M $138.00M $-162.60M $206.80M $309.60M $30.90M $-129.10M $174.60M $234.80M $45.60M $-88.40M $246.30M
Investments in Property Plant and Equipment $-114.90M $-81.40M $-121.20M $-133.80M $-119.10M $-94.40M $-99.30M $-99.40M $-123.10M $-103.50M $-99.30M $-100.90M $-102.40M $-66.30M $-93.20M $-61.50M $-40.20M $-26.10M $-35.80M $-114.90M
Acquisitions Net $-313.40M $- $100.00K $275.60M $-14.90M $-12.90M $1.10M $-400.00K $-2.00M $-16.00M $1.10M $-498.40M $-27.90M $-1.36B $-16.50M $-71.20M $-134.20M $400.00K $500.00K $400.00K
Purchases of Investments $- $- $- $-3.40M $-14.90M $-12.90M $-12.70M $-400.00K $-2.00M $-8.50M $-1.10M $500.00K $-19.50M $-4.20M $-500.00K $-18.70M $- $- $- $-
Sales Maturities of Investments $- $- $100.00K $- $134.00M $12.90M $12.70M $400.00K $2.00M $-1.10M $1.10M $- $- $- $- $-700.00K $- $- $- $-
Other Investing Activities $8.40M $6.20M $12.40M $-3.00M $-111.70M $9.40M $5.40M $21.80M $14.20M $10.10M $5.40M $6.80M $-5.30M $-12.90M $-600.00K $16.40M $-1.80M $4.10M $6.00M $-2.20M
Net Cash Used for Investing Activities $-419.90M $-75.20M $-108.60M $135.40M $-126.60M $-97.90M $-92.80M $-78.00M $-110.90M $-119.00M $-92.80M $-592.50M $-110.10M $-1.42B $-110.30M $-116.30M $-176.20M $-21.60M $-29.30M $-116.70M
Debt Repayment $89.30M $-48.70M $91.20M $-323.30M $-139.60M $-58.20M $118.00M $-81.60M $-160.70M $-32.70M $106.30M $266.10M $-74.20M $374.00M $-13.80M $-80.80M $-171.80M $-131.20M $-457.60M $560.40M
Common Stock Issued $26.40M $2.60M $21.20M $200.00K $700.00K $3.50M $3.40M $800.00K $200.00K $3.80M $11.50M $600.00K $3.70M $671.60M $20.20M $338.20M $480.20M $200.00K $2.20M $4.10M
Common Stock Repurchased $- $-9.60M $-11.70M $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-16.80M
Dividends Paid $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-28.70M
Other Financing Activities $-900.00K $- $- $200.00K $- $- $- $1.60M $-1.70M $3.70M $- $10.40M $1.80M $-1.10M $- $338.20M $- $- $1.50M $-100.00K
Net Cash Used Provided by Financing Activities $114.80M $-55.70M $100.70M $-323.10M $-138.90M $-54.70M $117.80M $-79.20M $-162.20M $-29.00M $117.80M $277.10M $-72.40M $1.04B $6.40M $257.40M $308.40M $-131.00M $-456.10M $518.90M
Effect of Forex Changes on Cash $3.30M $5.30M $3.90M $1.30M $-12.30M $1.10M $-2.50M $2.60M $9.10M $7.20M $-2.50M $-8.80M $-4.00M $-1.30M $-2.60M $-9.50M $-5.10M $1.70M $-9.40M $19.50M
Net Change in Cash $122.80M $36.50M $143.20M $35.60M $-57.00M $28.70M $-140.10M $26.00M $-11.60M $-2.80M $-140.10M $-117.40M $123.10M $-350.10M $-235.60M $306.20M $361.90M $-105.30M $-583.20M $668.00M
Cash at End of Period $302.50M $179.70M $143.20M $160.10M $124.50M $181.50M $206.00M $217.60M $191.60M $203.20M $206.00M $346.10M $463.50M $340.40M $690.50M $926.10M $619.90M $258.00M $363.30M $946.50M
Cash at Beginning of Period $179.70M $143.20M $160.10M $124.50M $181.50M $152.80M $346.10M $191.60M $203.20M $206.00M $346.10M $463.50M $340.40M $690.50M $926.10M $619.90M $258.00M $363.30M $946.50M $278.50M
Operating Cash Flow $424.60M $162.10M $-12.90M $222.00M $220.80M $180.20M $-162.60M $180.60M $252.40M $138.00M $-162.60M $206.80M $309.60M $30.90M $-129.10M $174.60M $234.80M $45.60M $-88.40M $246.30M
Capital Expenditure $-114.90M $-81.40M $-121.20M $-133.80M $-119.10M $-94.40M $-99.30M $-99.40M $-123.10M $-103.50M $-99.30M $-100.90M $-102.40M $-66.30M $-93.20M $-61.50M $-40.20M $-26.10M $-35.80M $-114.90M
Free Cash Flow $309.70M $80.70M $-123.60M $88.20M $101.70M $85.80M $-261.90M $81.20M $129.30M $34.50M $-261.90M $105.90M $207.20M $-35.40M $-222.30M $113.10M $194.60M $19.50M $-124.20M $131.40M

CAE Dividends

Explore CAE's dividend history, including dividend yield, payout ratio, and historical payments.

Dividend Yield

-

Dividend Payout Ratio

-

Dividend Paid & Capex Coverage Ratio

1.19x

CAE Dividend History

Dividend Adjusted Dividend Date Record Date Payment Date Declaration Date
$0.07929928 $0.07929928 March 12, 2020 March 13, 2020 March 31, 2020 February 07, 2020
$0.08338703 $0.08338703 December 12, 2019 December 13, 2019 December 31, 2019 November 13, 2019
$0.08335544 $0.08335544 September 12, 2019 September 13, 2019 September 30, 2019 August 14, 2019
$0.07505535 $0.07505535 June 13, 2019 June 14, 2019 June 28, 2019 May 17, 2019
$0.07685214 $0.07685214 September 13, 2018 September 14, 2018 September 28, 2018 August 14, 2018
$0.0690237 $0.0690237 June 14, 2018 June 15, 2018 June 29, 2018 May 25, 2018
$0.069 $0.069 March 14, 2018 March 15, 2018 March 30, 2018 February 09, 2018
$0.07008254 $0.07008254 December 14, 2017 December 15, 2017 December 29, 2017 November 13, 2017
$0.09 $0.07381587 September 14, 2017 September 15, 2017 September 29, 2017 August 11, 2017
$0.06049836 $0.06049836 June 13, 2017 June 15, 2017 June 30, 2017 June 09, 2017
$0.05947292 $0.05947292 March 13, 2017 March 15, 2017 March 31, 2017 February 14, 2017
$0.061 $0.061 December 13, 2016 December 15, 2016 December 30, 2016 November 10, 2016
$0.0607 $0.0607 September 13, 2016 September 15, 2016 September 30, 2016 August 10, 2016
$0.059 $0.059 June 13, 2016 June 15, 2016 June 30, 2016 May 20, 2016
$0.056 $0.056 March 11, 2016 March 15, 2016 March 31, 2016 March 07, 2016
$0.055 $0.055 December 11, 2015 December 15, 2015 December 31, 2015 November 12, 2015
$0.0571 $0.0571 September 11, 2015 September 15, 2015 September 30, 2015 August 12, 2015
$0.07 $0.0574 June 11, 2015 June 15, 2015 June 30, 2015 May 27, 2015
$0.055 $0.055 March 11, 2015 March 13, 2015 March 31, 2015 February 10, 2015
$0.07 $0.061 December 11, 2014 December 15, 2014 December 31, 2014 November 12, 2014

CAE News

Read the latest news about CAE, including recent articles, headlines, and updates.

CAE: The Undervalued Market Leader In Pilot Training

CAE's stock is a buy due to strong revenue and operating income growth, with a 12% revenue increase and a 116% rise in operating income year-on-year. The Civil Aviation segment saw a 21% revenue increase, driven by higher flight simulator deliveries, while Defense segment profits surged by 88%. CAE has a robust backlog of $20.3 billion, with significant orders in both commercial and defense segments, ensuring future revenue streams.

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CAE Inc. (CAE) Q3 2025 Earnings Call Transcript

CAE Inc. (NYSE:CAE ) Q3 2025 Earnings Call Transcript February 14, 2025 8:00 AM ET Company Participants Andrew Arnovitz - Senior VP, Investor Relations and Enterprise Risk Management Marc Parent - President, CEO & Director Constantino Malatesta - Interim Chief Financial Officer Nick Leontidis - Chief Operating Officer Conference Call Participants James McGarragle - RBC Capital Markets Fadi Chamoun - BMO Capital Markets Kevin Chiang - CIBC Sheila Kahyaoglu - Jefferies Matthew Lee - Canaccord Genuity Cameron Doerksen - National Bank Financial Noah Poponak - Goldman Sachs Benoit Poirier - Desjardins Capital Markets Operator Good day, ladies and gentlemen. Welcome to the CAE Third Quarter Financial Results for Fiscal Year 2025 Conference Call.

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CAE (CAE) Reports Q3 Earnings: What Key Metrics Have to Say

Although the revenue and EPS for CAE (CAE) give a sense of how its business performed in the quarter ended December 2024, it might be worth considering how some key metrics compare with Wall Street estimates and the year-ago numbers.

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CAE (CAE) Tops Q3 Earnings and Revenue Estimates

CAE (CAE) came out with quarterly earnings of $0.21 per share, beating the Zacks Consensus Estimate of $0.20 per share. This compares to earnings of $0.18 per share a year ago.

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CAE Inc. announces changes to its Board of Directors

MONTREAL , Feb. 13, 2025 /PRNewswire/ - (NYSE: CAE) (TSX: CAE) - CAE Inc. ("CAE" or "the Company") today announced the appointment of four new directors to its Board of Directors, including Calin Rovinescu as Chair of the Board. The other three appointments are Peter Lee, Katherine A.

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CAE reports third quarter fiscal 2025 results

Revenue of $1,223.4 million vs. $1,094.5 million in prior year Earnings per share (EPS) from continuing operations of $0.53 vs.

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CAE identified as strategic partner by the Government of Canada for the Future Fighter Lead-in Training program

Future Fighter Lead-in Training program (FFLIT) to support the next generation of Royal Canadian Air Force fighter pilot training MONTREAL , Feb. 12, 2025 /PRNewswire/ - (NYSE: CAE) (TSX: CAE) – Today, CAE has been identified as a strategic partner to the Government of Canada to work with the Royal Canadian Air Force (RCAF) to design and co-develop the Future Fighter Lead-in Training (FFLIT) program, which will prepare and train pilots to operate Canada's advanced fighters.  Leveraging CAE's extensive expertise and experience, this partnership will help streamline discussions and enable the acceleration of initial operational capability of the state-of-the-art FFLIT program.

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Ahead of CAE (CAE) Q3 Earnings: Get Ready With Wall Street Estimates for Key Metrics

Evaluate the expected performance of CAE (CAE) for the quarter ended December 2024, looking beyond the conventional Wall Street top-and-bottom-line estimates and examining some of its key metrics for better insight.

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CAE (CAE) Reports Next Week: Wall Street Expects Earnings Growth

CAE (CAE) doesn't possess the right combination of the two key ingredients for a likely earnings beat in its upcoming report. Get prepared with the key expectations.

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Advisory: CAE's FY2025 third quarter financial results and conference call

MONTREAL , Feb. 3, 2025 /PRNewswire/ - (NYSE: CAE) (TSX: CAE) – CAE will release its fiscal year 2025 third quarter financial results on Thursday, February 13, 2025, after market close. A conference call will be held the next day, Friday, February 14, 2025, at 8 a.m.

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Healthcare Manikins Market Skyrockets to $7.54 Billion by 2031 | CAGR of 16.1%, Dominated by Tech Giants - Laerdal Medical AS, Ambu AS, Gaumard Scientific, CAE Healthcare, Simulaids, Nasco Healthcare Inc | The Insight Partners

The healthcare manikins market value is expected to reach US$ 7.54 billion by 2031 from US$ 2.28 billion in 2023; it is anticipated to register a CAGR of 16.1% from 2023 to 2031. The healthcare manikins market value is expected to reach US$ 7.54 billion by 2031 from US$ 2.28 billion in 2023; it is anticipated to register a CAGR of 16.1% from 2023 to 2031.

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CAE inaugurates its first Air Traffic Services Training Centre in collaboration with NAV CANADA

The recently opened training centre on CAE's campus in Montreal marks a broadening of CAE's training portfolio MONTREAL , Jan. 16, 2025 /PRNewswire/ - (NYSE: CAE) (TSX: CAE) – Today, global aviation training leader CAE has inaugurated its first Air Traffic Services (ATS) Training Centre, on its campus in Montreal, Canada. As the largest provider of civil aviation training worldwide, CAE trains pilots, aircraft maintenance technicians, and cabin crew.

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Browning West Releases Letter to CAE Inc. Board of Directors

Believes Recruitment of a Proven CEO with Verifiable Track Record of Value Creation is Critical to Unlocking CAE's Long-Term Potential

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CAE employees, union, and partners once again raise over a million dollars for Centraide (United Way)

MONTREAL , Dec. 12, 2024 /PRNewswire/ - (NYSE: CAE) (TSX: CAE) CAE announced it has surpassed the one-million-dollar mark in its 2024 CAE-Centraide (United Way) campaign for the sixth consecutive year, raising $1,131,166 CAD through employee donations, fundraising activities, and a corporate donation. "For over two decades, CAE employees, our union, and other partners in Canada have gone above and beyond for our Centraide campaign, and I cannot thank them enough for their extraordinary generosity and commitment," said Marc Parent, President and CEO of CAE.

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CAE Inc.: Undervalued Stock With 21% FCF Growth And Long-Term Demand Drivers

CAE stock has faced challenges, particularly in defense contracts, but recent performance shows improvement with a 19% return since May 2024. Opportunities lie in rising air travel demand and defense training, while risks include inflationary pressures and softer commercial training demand. Despite past underperformance, CAE's revenue and operating income grew, with significant upside potential due to expected EBITDA and free cash flow growth.

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CAE Inc. (CAE) Q2 2025 Earnings Call Transcript

CAE Inc. (NYSE:CAE ) Q2 2025 Earnings Conference Call November 13, 2024 8:00 AM ET Company Participants Andrew Arnovitz - Senior Vice President, Investor Relations and Enterprise Risk Management Marc Parent - President and Chief Executive Officer Constantino Malatesta - Interim Chief Financial Officer Nick Leontidis - Chief Operating Officer Conference Call Participants Kevin Chiang - CIBC Sheila Kahyaoglu - Jefferies Fadi Chamoun - BMO Capital Markets James McGarragle - RBC Capital Markets Matthew Lee - Canaccord Genuity Cameron Doerksen - National Bank Financial Tim James - TD Cowen Jordan Lyonnais - Bank of America Noah Poponak - Goldman Sachs Michael Kypreos - Desjardins Capital Markets Operator Good day, ladies and gentlemen. Welcome to the CAE Second Quarter Financial Results for Fiscal Year 2025 Conference Call.

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Here's What Key Metrics Tell Us About CAE (CAE) Q2 Earnings

While the top- and bottom-line numbers for CAE (CAE) give a sense of how the business performed in the quarter ended September 2024, it could be worth looking at how some of its key metrics compare to Wall Street estimates and year-ago values.

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CAE (CAE) Q2 Earnings and Revenues Surpass Estimates

CAE (CAE) came out with quarterly earnings of $0.18 per share, beating the Zacks Consensus Estimate of $0.13 per share. This compares to earnings of $0.20 per share a year ago.

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CAE announces CEO succession plan

MONTREAL , Nov. 12, 2024 /PRNewswire/ - (NYSE: CAE) (TSX: CAE) CAE announced today that after 20 years at CAE, including 15 as President and Chief Executive Officer, and after spearheading the making of CAE as a global leader in training for civil aviation and defence and security forces, Marc Parent will be leaving the company at next year's Annual General Meeting in August 2025, as part of an ongoing succession plan. Until this time, Mr.

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CAE reports second quarter fiscal 2025 results

Revenue of $1,136.6 million vs. $1,050.0 million in prior year Earnings per share (EPS) from continuing operations of $0.16 vs.

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CAE Inc. (CAE) Shareholders May Have Been Affected by Fraud- Levi & Korsinsky Investigates

NEW YORK, NY / ACCESSWIRE / November 11, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of CAE Inc. ("CAE Inc.") (NYSE:CAE) concerning possible violations of federal securities laws. Investors who purchased CAE on the New York Stock Exchange ("NYSE") may have been affected by violations of federal securities laws.

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Military Simulators and Training Market Size & Share Analysis, Regional Growth Trends & Forecasts (2024-2029) Featuring Profiles of Leading Players CAE, FlightSafety Int'l, Lockheed Martin & More

Dublin, Nov. 11, 2024 (GLOBE NEWSWIRE) -- The "Military Simulators and Training Market Size & Share Analysis - Growth Trends & Forecasts (2024-2029)" report has been added to ResearchAndMarkets.com's offering.

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CAE Inc. Investigation Ongoing: Contact Levi & Korsinsky to Discuss Your Rights - CAE

NEW YORK, NY / ACCESSWIRE / November 8, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of CAE Inc. ("CAE Inc.") (NYSE:CAE) concerning possible violations of federal securities laws. Investors who purchased CAE on the New York Stock Exchange ("NYSE") may have been affected by violations of federal securities laws.

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Unlocking Q2 Potential of CAE (CAE): Exploring Wall Street Estimates for Key Metrics

Besides Wall Street's top -and-bottom-line estimates for CAE (CAE), review projections for some of its key metrics to gain a deeper understanding of how the company might have fared during the quarter ended September 2024.

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Levi & Korsinsky Reminds CAE Inc. Investors of the Ongoing Investigation into Potential Violations of Securities Laws - CAE

NEW YORK, NY / ACCESSWIRE / November 7, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of CAE Inc. ("CAE Inc.") (NYSE:CAE) concerning possible violations of federal securities laws. Investors who purchased CAE on the New York Stock Exchange ("NYSE") may have been affected by violations of federal securities laws.

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Advisory: CAE's FY2025 second quarter financial results and conference call

MONTREAL , Nov. 6, 2024 /PRNewswire/ - (NYSE: CAE) (TSX: CAE) – CAE will release its fiscal year 2025 second quarter financial results on Tuesday, November 12, 2024, after market close. A conference call will be held the next day, Wednesday, November 13, 2024, at 8 a.m.

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Shareholders that lost money on CAE Inc.(CAE) should contact Levi & Korsinsky about Securities Fraud Investigation - CAE

NEW YORK, NY / ACCESSWIRE / November 6, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of CAE Inc. ("CAE Inc.") (NYSE:CAE) concerning possible violations of federal securities laws. Investors who purchased CAE on the New York Stock Exchange ("NYSE") may have been affected by violations of federal securities laws.

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Earnings Preview: CAE (CAE) Q2 Earnings Expected to Decline

CAE (CAE) doesn't possess the right combination of the two key ingredients for a likely earnings beat in its upcoming report. Get prepared with the key expectations.

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Lost Money on CAE Inc.(CAE)? Contact Levi & Korsinsky Regarding an Ongoing Investigation

NEW YORK, NY / ACCESSWIRE / November 4, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of CAE Inc. ("CAE Inc.") (NYSE:CAE) concerning possible violations of federal securities laws. Investors who purchased CAE on the New York Stock Exchange ("NYSE") may have been affected by violations of federal securities laws.

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ATTENTION CAE SHAREHOLDERS: Investors who lost money on CAE Inc. are urged to contact Levi & Korsinsky about an ongoing investigation

NEW YORK, NY / ACCESSWIRE / November 4, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of CAE Inc. ("CAE Inc.") (NYSE:CAE) concerning possible violations of federal securities laws. Investors who purchased CAE on the New York Stock Exchange ("NYSE") may have been affected by violations of federal securities laws.

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