Below are the financial statements of TMX Group, including the income statement and balance sheet for the company's latest fiscal year. All figures are accurate, verifiable, and fully traceable to the original annual filing where disclosed.
All figures in millions of CAD | 2024 | 2023 |
---|---|---|
Revenue | 1,460.1a | 1,194.1a |
REPO and collateral interest | — | — |
Interest income | 1,512.5a | 1,704.2a |
Interest expense | -1,512.5a | -1,704.2a |
Net REPO and collateral interest | 0a | 0a |
Total revenue | 1,460.1a | 1,194.1a |
Compensation and benefits | -389.1a | -321.9a |
Information and trading systems | -112.2a | -92.1a |
Selling, general and administration | -150.9a | -127.6a |
Depreciation and amortization | -165.6a | -112.5a |
Total operating expenses | -817.8a | -654.1a |
Income from operations | 642.3a | 540a |
Share of (loss) income from equity-accounted investments | -1.1a | 0.4a |
Other income | 57.1a | 1.3a |
Net finance costs | -28.7a | -24.3a |
Income before income tax expense | 669.6a | 517.4a |
Income tax expense | -142.7a | -129.2a |
Net income | 526.9a | 388.2a |
Net income attributable to | — | — |
Equity holders of the company | 481.5a | 356a |
Non-controlling interests | 45.4a | 32.2a |
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