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JPM JPMorgan CDR (CAD Hedged)

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  • 27.700
  • -2.296-7.65%
15min DelayMarket Closed Apr 4 15:59 ET
796.73BMarket Cap10.03P/E (TTM)

JPMorgan CDR (CAD Hedged) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-423.82%-42.01B
145.32%147.76B
-264.19%-74.08B
103.92%38.47B
-38.58%-154.16B
-87.89%12.97B
-40.50%60.23B
347.85%45.12B
-71.42%18.87B
-165.38%-111.24B
Net income from continuing operations
18.00%58.47B
50.48%14.01B
-1.92%12.9B
25.41%18.15B
6.31%13.42B
31.52%49.55B
-15.45%9.31B
35.06%13.15B
67.33%14.47B
52.40%12.62B
Operating gains losses
---7.99B
--0
--0
----
----
----
----
----
----
----
Depreciation and amortization
5.67%7.94B
-41.11%1.97B
-2.58%1.97B
294.87%2B
21.53%2B
6.54%7.51B
99.70%3.34B
14.00%2.02B
-71.66%507M
-9.40%1.65B
Provision for loans, leases and other losses
14.57%10.68B
-4.74%2.63B
124.78%3.11B
5.28%3.05B
-17.19%1.88B
45.88%9.32B
20.72%2.76B
-9.95%1.38B
163.31%2.9B
55.50%2.28B
Deferred tax
144.20%2B
22,370.00%2.25B
159.24%1.37B
62.01%-620M
-63.20%-989M
-65.60%-4.53B
-98.61%10M
-68.44%-2.31B
-20.35%-1.63B
16.99%-606M
Other non cashItems
-84.82%1.11B
12.00%5.62B
-444.31%-4.14B
1,522.58%503M
-183.86%-873M
-72.01%7.29B
48.92%5.02B
-79.28%1.2B
-99.46%31M
-90.63%1.04B
Change in working capital
-103.35%-114.22B
204.77%121.29B
-400.93%-89.28B
803.13%23.37B
-32.27%-169.6B
-271.84%-56.17B
-51.57%39.8B
183.13%29.67B
-94.83%2.59B
-100.78%-128.22B
-Change in receivables
-71.22%5.74B
5.63%21.23B
180.26%13.06B
-195.39%-5.99B
-329.63%-22.56B
186.76%19.93B
7.74%20.09B
-1,237.97%-16.27B
-5.76%6.28B
119.76%9.82B
-Change in payables and accrued expense
99.65%-90M
-30.19%-17.49B
-66.40%4.24B
-52.74%1.55B
141.70%11.61B
-143.31%-25.39B
22.56%-13.43B
152.92%12.61B
-47.35%3.28B
-143.01%-27.85B
-Change in other current assets
-123.20%-7.65B
3.45%-6.18B
-32.61%-6.93B
-112.94%-3.94B
-33.43%9.41B
1,244.00%32.97B
-144.98%-6.4B
-139.38%-5.23B
287.52%30.47B
971.19%14.13B
-Change in other working capital
-34.10%-112.22B
212.95%123.73B
-358.41%-99.64B
184.80%31.76B
-35.18%-168.06B
-110,002.63%-83.68B
-40.66%39.54B
196.60%38.56B
-170.12%-37.45B
-55.02%-124.33B
Cash from discontinued operating activities
Operating cash flow
-423.82%-42.01B
145.32%147.76B
-264.19%-74.08B
103.92%38.47B
-38.58%-154.16B
-87.89%12.97B
-40.50%60.23B
347.85%45.12B
-71.42%18.87B
-165.38%-111.24B
Investing cash flow
Cash flow from continuing investing activities
-341.57%-163.4B
-77.94%17.62B
-143.99%-43.41B
-416.58%-94.24B
-282.31%-43.38B
149.08%67.64B
255.02%79.88B
-145.01%-17.79B
65.71%-18.24B
132.77%23.79B
Net business purchase and sale
76.19%-2.36B
--0
--0
----
----
---9.92B
--0
--0
----
----
Net investment purchase and sale
-220.23%-114.93B
-329.39%-58.67B
-273.22%-33.75B
-177.84%-20.09B
-109.79%-2.42B
666.78%95.59B
370.93%25.58B
-46.64%19.49B
316.49%25.81B
218.81%24.72B
Net proceeds payment for loan
38.45%-25.26B
-3.70%-16.05B
-16.92%-13.71B
52.56%-9.87B
106.14%14.37B
51.20%-41.03B
35.84%-15.48B
18.20%-11.73B
44.41%-20.8B
185.06%6.97B
Net other investing changes
87.18%-2.15B
17.30%-3.36B
250.00%1.9B
105.70%276M
85.37%-963M
-40.30%-16.74B
8.40%-4.06B
54.04%-1.26B
-210.93%-4.84B
-105.85%-6.58B
Cash from discontinued investing activities
Investing cash flow
-341.57%-163.4B
-77.94%17.62B
-143.99%-43.41B
-416.58%-94.24B
-282.31%-43.38B
149.08%67.64B
255.02%79.88B
-145.01%-17.79B
65.71%-18.24B
132.77%23.79B
Financing cash flow
Cash flow from continuing financing activities
348.12%63.45B
-222.32%-115.71B
348.98%10.75B
154.57%27.24B
118.67%141.17B
79.75%-25.57B
74.78%-35.9B
86.87%-4.32B
40.44%-49.92B
-51.38%64.56B
Change in federal funds and securities sold for repurchase
481.75%80.29B
-76.97%-92.47B
-569.59%-11.55B
278.33%75.17B
149.62%109.14B
63.23%13.8B
-39.50%-52.25B
-85.80%2.46B
2,059.37%19.87B
47.71%43.72B
Increase decrease in deposit
110.25%3.3B
-274.22%-18.97B
292.65%29.48B
47.58%-32.22B
-25.75%25.01B
76.48%-32.2B
111.76%10.89B
69.51%-15.3B
34.51%-61.47B
-66.21%33.68B
Net issuance payments of debt
141.18%20.75B
-71.11%3.83B
-35.15%7.23B
101.85%120M
203.01%9.58B
-64.01%8.6B
579.88%13.24B
863.18%11.14B
-147.51%-6.48B
-178.41%-9.3B
Net commonstock issuance
-91.67%-18.83B
-89.05%-4.3B
-167.04%-6.36B
-115.42%-5.34B
-5.28%-2.83B
-210.69%-9.82B
---2.28B
---2.38B
-250.35%-2.48B
-9.57%-2.69B
Net preferred stock issuance
---7.35B
---1.6B
---2.25B
---6B
--2.5B
--0
--0
--0
--0
--0
Cash dividends paid
-9.80%-14.78B
-12.61%-3.86B
-7.94%-3.66B
-15.26%-3.78B
-3.53%-3.49B
0.73%-13.46B
-1.48%-3.43B
0.76%-3.39B
2.00%-3.28B
1.63%-3.37B
Net other financing activities
-99.01%74M
180.18%1.66B
-167.99%-2.14B
-118.24%-715M
-49.58%1.27B
207.83%7.51B
-172.54%-2.07B
41.53%3.15B
167.39%3.92B
611.81%2.51B
Cash from discontinued financing activities
Financing cash flow
348.12%63.45B
-222.32%-115.71B
348.98%10.75B
154.57%27.24B
118.67%141.17B
79.75%-25.57B
74.78%-35.9B
86.87%-4.32B
40.44%-49.92B
-51.38%64.56B
Net cash flow
Beginning cash position
10.03%624.15B
-15.08%434.26B
7.21%530.82B
2.95%562.12B
10.03%624.15B
-23.43%567.23B
-20.62%511.37B
-26.02%495.12B
-27.64%546B
-23.43%567.23B
Current changes in cash
-357.91%-141.97B
-52.34%49.67B
-563.82%-106.74B
42.12%-28.53B
-146.26%-56.37B
135.07%55.05B
212.48%104.22B
298.99%23.01B
30.56%-49.29B
-225.45%-22.89B
Effect of exchange rate changes
-787.65%-12.87B
-270.63%-14.62B
250.45%10.18B
-74.56%-2.77B
-442.15%-5.67B
111.24%1.87B
-45.44%8.57B
49.90%-6.77B
88.91%-1.58B
136.40%1.66B
End cash position
-24.81%469.32B
-24.81%469.32B
-15.08%434.26B
7.21%530.82B
2.95%562.12B
10.03%624.15B
10.03%624.15B
-20.62%511.37B
-26.02%495.12B
-27.64%546B
Free cash from
-423.82%-42.01B
145.32%147.76B
-264.19%-74.08B
103.92%38.47B
-38.58%-154.16B
-87.89%12.97B
-40.50%60.23B
347.85%45.12B
-71.42%18.87B
-165.38%-111.24B
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -423.82%-42.01B145.32%147.76B-264.19%-74.08B103.92%38.47B-38.58%-154.16B-87.89%12.97B-40.50%60.23B347.85%45.12B-71.42%18.87B-165.38%-111.24B
Net income from continuing operations 18.00%58.47B50.48%14.01B-1.92%12.9B25.41%18.15B6.31%13.42B31.52%49.55B-15.45%9.31B35.06%13.15B67.33%14.47B52.40%12.62B
Operating gains losses ---7.99B--0--0----------------------------
Depreciation and amortization 5.67%7.94B-41.11%1.97B-2.58%1.97B294.87%2B21.53%2B6.54%7.51B99.70%3.34B14.00%2.02B-71.66%507M-9.40%1.65B
Provision for loans, leases and other losses 14.57%10.68B-4.74%2.63B124.78%3.11B5.28%3.05B-17.19%1.88B45.88%9.32B20.72%2.76B-9.95%1.38B163.31%2.9B55.50%2.28B
Deferred tax 144.20%2B22,370.00%2.25B159.24%1.37B62.01%-620M-63.20%-989M-65.60%-4.53B-98.61%10M-68.44%-2.31B-20.35%-1.63B16.99%-606M
Other non cashItems -84.82%1.11B12.00%5.62B-444.31%-4.14B1,522.58%503M-183.86%-873M-72.01%7.29B48.92%5.02B-79.28%1.2B-99.46%31M-90.63%1.04B
Change in working capital -103.35%-114.22B204.77%121.29B-400.93%-89.28B803.13%23.37B-32.27%-169.6B-271.84%-56.17B-51.57%39.8B183.13%29.67B-94.83%2.59B-100.78%-128.22B
-Change in receivables -71.22%5.74B5.63%21.23B180.26%13.06B-195.39%-5.99B-329.63%-22.56B186.76%19.93B7.74%20.09B-1,237.97%-16.27B-5.76%6.28B119.76%9.82B
-Change in payables and accrued expense 99.65%-90M-30.19%-17.49B-66.40%4.24B-52.74%1.55B141.70%11.61B-143.31%-25.39B22.56%-13.43B152.92%12.61B-47.35%3.28B-143.01%-27.85B
-Change in other current assets -123.20%-7.65B3.45%-6.18B-32.61%-6.93B-112.94%-3.94B-33.43%9.41B1,244.00%32.97B-144.98%-6.4B-139.38%-5.23B287.52%30.47B971.19%14.13B
-Change in other working capital -34.10%-112.22B212.95%123.73B-358.41%-99.64B184.80%31.76B-35.18%-168.06B-110,002.63%-83.68B-40.66%39.54B196.60%38.56B-170.12%-37.45B-55.02%-124.33B
Cash from discontinued operating activities
Operating cash flow -423.82%-42.01B145.32%147.76B-264.19%-74.08B103.92%38.47B-38.58%-154.16B-87.89%12.97B-40.50%60.23B347.85%45.12B-71.42%18.87B-165.38%-111.24B
Investing cash flow
Cash flow from continuing investing activities -341.57%-163.4B-77.94%17.62B-143.99%-43.41B-416.58%-94.24B-282.31%-43.38B149.08%67.64B255.02%79.88B-145.01%-17.79B65.71%-18.24B132.77%23.79B
Net business purchase and sale 76.19%-2.36B--0--0-----------9.92B--0--0--------
Net investment purchase and sale -220.23%-114.93B-329.39%-58.67B-273.22%-33.75B-177.84%-20.09B-109.79%-2.42B666.78%95.59B370.93%25.58B-46.64%19.49B316.49%25.81B218.81%24.72B
Net proceeds payment for loan 38.45%-25.26B-3.70%-16.05B-16.92%-13.71B52.56%-9.87B106.14%14.37B51.20%-41.03B35.84%-15.48B18.20%-11.73B44.41%-20.8B185.06%6.97B
Net other investing changes 87.18%-2.15B17.30%-3.36B250.00%1.9B105.70%276M85.37%-963M-40.30%-16.74B8.40%-4.06B54.04%-1.26B-210.93%-4.84B-105.85%-6.58B
Cash from discontinued investing activities
Investing cash flow -341.57%-163.4B-77.94%17.62B-143.99%-43.41B-416.58%-94.24B-282.31%-43.38B149.08%67.64B255.02%79.88B-145.01%-17.79B65.71%-18.24B132.77%23.79B
Financing cash flow
Cash flow from continuing financing activities 348.12%63.45B-222.32%-115.71B348.98%10.75B154.57%27.24B118.67%141.17B79.75%-25.57B74.78%-35.9B86.87%-4.32B40.44%-49.92B-51.38%64.56B
Change in federal funds and securities sold for repurchase 481.75%80.29B-76.97%-92.47B-569.59%-11.55B278.33%75.17B149.62%109.14B63.23%13.8B-39.50%-52.25B-85.80%2.46B2,059.37%19.87B47.71%43.72B
Increase decrease in deposit 110.25%3.3B-274.22%-18.97B292.65%29.48B47.58%-32.22B-25.75%25.01B76.48%-32.2B111.76%10.89B69.51%-15.3B34.51%-61.47B-66.21%33.68B
Net issuance payments of debt 141.18%20.75B-71.11%3.83B-35.15%7.23B101.85%120M203.01%9.58B-64.01%8.6B579.88%13.24B863.18%11.14B-147.51%-6.48B-178.41%-9.3B
Net commonstock issuance -91.67%-18.83B-89.05%-4.3B-167.04%-6.36B-115.42%-5.34B-5.28%-2.83B-210.69%-9.82B---2.28B---2.38B-250.35%-2.48B-9.57%-2.69B
Net preferred stock issuance ---7.35B---1.6B---2.25B---6B--2.5B--0--0--0--0--0
Cash dividends paid -9.80%-14.78B-12.61%-3.86B-7.94%-3.66B-15.26%-3.78B-3.53%-3.49B0.73%-13.46B-1.48%-3.43B0.76%-3.39B2.00%-3.28B1.63%-3.37B
Net other financing activities -99.01%74M180.18%1.66B-167.99%-2.14B-118.24%-715M-49.58%1.27B207.83%7.51B-172.54%-2.07B41.53%3.15B167.39%3.92B611.81%2.51B
Cash from discontinued financing activities
Financing cash flow 348.12%63.45B-222.32%-115.71B348.98%10.75B154.57%27.24B118.67%141.17B79.75%-25.57B74.78%-35.9B86.87%-4.32B40.44%-49.92B-51.38%64.56B
Net cash flow
Beginning cash position 10.03%624.15B-15.08%434.26B7.21%530.82B2.95%562.12B10.03%624.15B-23.43%567.23B-20.62%511.37B-26.02%495.12B-27.64%546B-23.43%567.23B
Current changes in cash -357.91%-141.97B-52.34%49.67B-563.82%-106.74B42.12%-28.53B-146.26%-56.37B135.07%55.05B212.48%104.22B298.99%23.01B30.56%-49.29B-225.45%-22.89B
Effect of exchange rate changes -787.65%-12.87B-270.63%-14.62B250.45%10.18B-74.56%-2.77B-442.15%-5.67B111.24%1.87B-45.44%8.57B49.90%-6.77B88.91%-1.58B136.40%1.66B
End cash position -24.81%469.32B-24.81%469.32B-15.08%434.26B7.21%530.82B2.95%562.12B10.03%624.15B10.03%624.15B-20.62%511.37B-26.02%495.12B-27.64%546B
Free cash from -423.82%-42.01B145.32%147.76B-264.19%-74.08B103.92%38.47B-38.58%-154.16B-87.89%12.97B-40.50%60.23B347.85%45.12B-71.42%18.87B-165.38%-111.24B
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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