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Air Canada (AC)

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  • 18.680
  • -0.710-3.66%
15min DelayMarket Closed Apr 16 16:00 ET
5.50BMarket Cap10.04P/E (TTM)

Air Canada (AC) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
-20.87%5.53B
-20.87%5.53B
-26.98%6.12B
-23.87%6.19B
-10.12%7.09B
-18.35%6.98B
-18.35%6.98B
1.06%8.38B
-5.96%8.13B
-7.39%7.89B
-Cash and cash equivalents
11.00%2.8B
11.00%2.8B
6.45%3.61B
4.87%3.17B
23.75%3.36B
-10.61%2.52B
-10.61%2.52B
37.93%3.39B
3.25%3.02B
-12.10%2.72B
-Short term investments
-38.84%2.73B
-38.84%2.73B
-49.73%2.51B
-40.85%3.02B
-27.90%3.73B
-22.15%4.46B
-22.15%4.46B
-14.49%4.99B
-10.66%5.11B
-4.70%5.17B
Receivables
18.64%1.29B
18.64%1.29B
2.55%1.21B
-7.44%1.17B
-6.16%1.11B
-2.85%1.09B
-2.85%1.09B
-1.59%1.18B
6.04%1.26B
8.62%1.19B
-Accounts receivable
18.64%1.29B
18.64%1.29B
2.55%1.21B
-7.44%1.17B
-6.16%1.11B
-2.85%1.09B
-2.85%1.09B
-1.59%1.18B
6.04%1.26B
8.62%1.19B
Inventory
25.32%490M
25.32%490M
17.91%428M
-3.27%385M
18.15%371M
16.02%391M
16.02%391M
13.44%363M
33.56%398M
-4.27%314M
Restricted cash
----
----
--278M
--168M
----
----
----
----
----
----
Other current assets
1.50%609M
1.50%609M
0.59%341M
-14.19%375M
23.90%451M
139.04%600M
139.04%600M
-40.32%339M
18.75%437M
7.37%364M
Total current assets
-12.65%7.92B
-12.65%7.92B
-18.39%8.37B
-18.98%8.29B
-7.46%9.02B
-11.68%9.06B
-11.68%9.06B
-1.13%10.26B
-2.61%10.23B
-5.10%9.75B
Non current assets
Net PPE
11.23%14.52B
11.23%14.52B
13.82%14.04B
13.12%13.82B
12.56%13.53B
9.59%13.05B
9.59%13.05B
4.79%12.33B
1.00%12.22B
0.03%12.02B
-Gross PPE
10.14%28.75B
10.14%28.75B
----
----
----
6.98%26.11B
6.98%26.11B
----
----
----
-Accumulated depreciation
-9.04%-14.24B
-9.04%-14.24B
----
----
----
-4.50%-13.06B
-4.50%-13.06B
----
----
----
Investments and advances
-16.57%715M
-16.57%715M
-31.00%592M
-28.84%728M
20.91%1.28B
4.51%857M
4.51%857M
-3.38%858M
-12.34%1.02B
-16.97%1.06B
-Long term equity investment
-2.04%48M
-2.04%48M
--50M
--50M
----
22.50%49M
22.50%49M
----
----
----
-Financial asset investment
-16.88%640M
-16.88%640M
--542M
--678M
----
3.49%770M
3.49%770M
----
----
----
-Including:Financial assets designated as fair value through profit or loss, Total
-16.88%640M
-16.88%640M
--542M
--678M
----
3.49%770M
3.49%770M
----
----
----
-Other investment
-28.95%27M
-28.95%27M
----
----
----
5.56%38M
5.56%38M
----
----
----
Financial assets
----
----
--21M
--22M
----
----
----
----
----
----
Non current prepaid assets
6.72%127M
6.72%127M
----
----
----
19.00%119M
19.00%119M
----
----
----
Goodwill and other intangible assets
2.14%4.54B
2.14%4.54B
2.12%4.49B
2.21%4.48B
2.08%4.46B
1.97%4.44B
1.97%4.44B
1.20%4.4B
1.11%4.38B
0.92%4.37B
-Goodwill
0.00%3.27B
0.00%3.27B
0.00%3.27B
0.00%3.27B
0.00%3.27B
0.00%3.27B
0.00%3.27B
0.00%3.27B
0.00%3.27B
0.00%3.27B
-Other intangible assets
8.12%1.27B
8.12%1.27B
8.28%1.22B
8.75%1.21B
8.33%1.18B
7.93%1.17B
7.93%1.17B
4.86%1.12B
4.52%1.11B
3.80%1.09B
Defined pension benefit
-0.87%2.51B
-0.87%2.51B
-4.92%2.42B
-0.29%2.44B
3.77%2.56B
-2.05%2.54B
-2.05%2.54B
11.98%2.54B
-6.89%2.45B
-2.49%2.47B
Non current deferred assets
-25.51%774M
-25.51%774M
-23.78%846M
2,176.00%1.14B
1,988.68%1.11B
1,978.00%1.04B
1,978.00%1.04B
2,034.62%1.11B
-10.71%50M
-5.36%53M
Other non current assets
12.50%117M
12.50%117M
--250M
--235M
----
16.85%104M
16.85%104M
----
----
----
Total non current assets
5.21%23.3B
5.21%23.3B
6.65%22.65B
13.63%22.86B
14.87%22.93B
11.22%22.15B
11.22%22.15B
9.92%21.24B
-0.80%20.12B
-1.18%19.96B
Total assets
0.02%31.22B
0.02%31.22B
-1.50%31.02B
2.64%31.15B
7.54%31.96B
3.44%31.21B
3.44%31.21B
6.06%31.5B
-1.42%30.35B
-2.50%29.71B
Liabilities
Current liabilities
Current debt and capital lease obligation
69.06%2.97B
69.06%2.97B
85.84%3.07B
-4.45%1.55B
66.06%2.02B
102.66%1.76B
102.66%1.76B
72.26%1.65B
58.11%1.62B
4.39%1.21B
-Current debt
108.86%2.43B
108.86%2.43B
133.80%2.53B
-1.11%1.07B
108.93%1.45B
223.96%1.16B
223.96%1.16B
144.90%1.08B
108.11%1.08B
15.09%694M
-Current capital lease obligation
-9.12%538M
-9.12%538M
-4.72%545M
-11.09%481M
8.85%566M
16.77%592M
16.77%592M
10.42%572M
6.92%541M
-7.14%520M
Current deferred liabilities
11.36%6.65B
11.36%6.65B
10.28%6.58B
3.08%7.13B
2.03%7B
2.77%5.98B
2.77%5.98B
0.56%5.97B
0.16%6.92B
4.54%6.86B
Current liabilities
23.46%14.13B
23.46%14.13B
27.90%14.23B
8.88%13.15B
12.39%12.94B
14.49%11.45B
14.49%11.45B
19.22%11.13B
12.50%12.07B
10.82%11.51B
Non current liabilities
Long term debt and capital lease obligation
-21.13%8.61B
-21.13%8.61B
-18.82%8.7B
-5.63%10.25B
-4.78%10.71B
-16.01%10.92B
-16.01%10.92B
-20.11%10.72B
-21.67%10.86B
-24.52%11.25B
-Long term debt
-27.65%6.14B
-27.65%6.14B
-12.48%8.7B
-6.76%8.3B
-6.05%8.73B
-18.90%8.48B
-18.90%8.48B
-11.76%9.94B
-23.50%8.9B
-25.71%9.3B
-Long term capital lease obligation
1.60%2.47B
1.60%2.47B
149.29%1.94B
-0.46%1.95B
1.23%1.98B
-4.10%2.43B
-4.10%2.43B
-63.84%777M
-12.15%1.96B
-18.28%1.95B
Long term provisions
-6.29%1.34B
-6.29%1.34B
-12.95%1.27B
-5.43%1.24B
3.71%1.31B
16.63%1.43B
16.63%1.43B
6.19%1.46B
1.63%1.31B
-8.46%1.27B
Employee benefits
-16.72%1.53B
-16.72%1.53B
-12.86%1.61B
-5.85%1.64B
3.28%1.86B
-1.76%1.84B
-1.76%1.84B
10.96%1.84B
-4.28%1.74B
-1.96%1.8B
Non current deferred liabilities
-5.72%2.85B
-5.72%2.85B
-6.64%2.88B
-2.78%2.94B
0.00%3.01B
-1.21%3.03B
-1.21%3.03B
-0.19%3.09B
-7.80%3.03B
-6.48%3.01B
Other non current liabilities
-3.14%154M
-3.14%154M
-10.53%153M
-15.03%147M
-22.99%134M
-26.39%159M
-26.39%159M
-37.13%171M
-54.47%173M
-34.09%174M
Total non current liabilities
-16.59%14.49B
-16.59%14.49B
-15.43%14.61B
-5.23%16.21B
-2.70%17.03B
-10.34%17.37B
-10.34%17.37B
-12.80%17.28B
-17.08%17.11B
-19.00%17.5B
Total liabilities
-0.68%28.62B
-0.68%28.62B
1.54%28.84B
0.61%29.36B
3.29%29.96B
-1.89%28.82B
-1.89%28.82B
-2.55%28.4B
-6.96%29.18B
-9.32%29.01B
Shareholders'equity
Share capital
-12.90%2.28B
-12.90%2.28B
-17.35%2.29B
-16.73%2.29B
-9.15%2.49B
-4.81%2.61B
-4.81%2.61B
0.80%2.77B
0.00%2.74B
0.00%2.74B
-common stock
-12.90%2.28B
-12.90%2.28B
-17.35%2.29B
-16.73%2.29B
-9.15%2.49B
-4.81%2.61B
-4.81%2.61B
0.80%2.77B
0.00%2.74B
0.00%2.74B
Additional paid-in capital
11.41%166M
11.41%166M
11.64%163M
11.89%160M
12.23%156M
12.03%149M
12.03%149M
12.31%146M
12.60%143M
12.10%139M
Retained earnings
162.15%202M
162.15%202M
-185.06%-222M
62.30%-627M
71.46%-603M
83.94%-325M
83.94%-325M
111.53%261M
51.09%-1.66B
51.26%-2.11B
Gains losses not affecting retained earnings
-8.33%-52M
-8.33%-52M
43.21%-46M
47.46%-31M
16.92%-54M
15.79%-48M
15.79%-48M
-35.00%-81M
-13.46%-59M
-38.30%-65M
Total stockholders'equity
8.50%2.59B
8.50%2.59B
-29.46%2.18B
53.39%1.79B
182.55%1.99B
200.00%2.39B
200.00%2.39B
462.18%3.09B
300.52%1.17B
146.57%705M
Total equity
8.50%2.59B
8.50%2.59B
-29.46%2.18B
53.39%1.79B
182.55%1.99B
200.00%2.39B
200.00%2.39B
462.18%3.09B
300.52%1.17B
146.57%705M
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, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments -20.87%5.53B-20.87%5.53B-26.98%6.12B-23.87%6.19B-10.12%7.09B-18.35%6.98B-18.35%6.98B1.06%8.38B-5.96%8.13B-7.39%7.89B
-Cash and cash equivalents 11.00%2.8B11.00%2.8B6.45%3.61B4.87%3.17B23.75%3.36B-10.61%2.52B-10.61%2.52B37.93%3.39B3.25%3.02B-12.10%2.72B
-Short term investments -38.84%2.73B-38.84%2.73B-49.73%2.51B-40.85%3.02B-27.90%3.73B-22.15%4.46B-22.15%4.46B-14.49%4.99B-10.66%5.11B-4.70%5.17B
Receivables 18.64%1.29B18.64%1.29B2.55%1.21B-7.44%1.17B-6.16%1.11B-2.85%1.09B-2.85%1.09B-1.59%1.18B6.04%1.26B8.62%1.19B
-Accounts receivable 18.64%1.29B18.64%1.29B2.55%1.21B-7.44%1.17B-6.16%1.11B-2.85%1.09B-2.85%1.09B-1.59%1.18B6.04%1.26B8.62%1.19B
Inventory 25.32%490M25.32%490M17.91%428M-3.27%385M18.15%371M16.02%391M16.02%391M13.44%363M33.56%398M-4.27%314M
Restricted cash ----------278M--168M------------------------
Other current assets 1.50%609M1.50%609M0.59%341M-14.19%375M23.90%451M139.04%600M139.04%600M-40.32%339M18.75%437M7.37%364M
Total current assets -12.65%7.92B-12.65%7.92B-18.39%8.37B-18.98%8.29B-7.46%9.02B-11.68%9.06B-11.68%9.06B-1.13%10.26B-2.61%10.23B-5.10%9.75B
Non current assets
Net PPE 11.23%14.52B11.23%14.52B13.82%14.04B13.12%13.82B12.56%13.53B9.59%13.05B9.59%13.05B4.79%12.33B1.00%12.22B0.03%12.02B
-Gross PPE 10.14%28.75B10.14%28.75B------------6.98%26.11B6.98%26.11B------------
-Accumulated depreciation -9.04%-14.24B-9.04%-14.24B-------------4.50%-13.06B-4.50%-13.06B------------
Investments and advances -16.57%715M-16.57%715M-31.00%592M-28.84%728M20.91%1.28B4.51%857M4.51%857M-3.38%858M-12.34%1.02B-16.97%1.06B
-Long term equity investment -2.04%48M-2.04%48M--50M--50M----22.50%49M22.50%49M------------
-Financial asset investment -16.88%640M-16.88%640M--542M--678M----3.49%770M3.49%770M------------
-Including:Financial assets designated as fair value through profit or loss, Total -16.88%640M-16.88%640M--542M--678M----3.49%770M3.49%770M------------
-Other investment -28.95%27M-28.95%27M------------5.56%38M5.56%38M------------
Financial assets ----------21M--22M------------------------
Non current prepaid assets 6.72%127M6.72%127M------------19.00%119M19.00%119M------------
Goodwill and other intangible assets 2.14%4.54B2.14%4.54B2.12%4.49B2.21%4.48B2.08%4.46B1.97%4.44B1.97%4.44B1.20%4.4B1.11%4.38B0.92%4.37B
-Goodwill 0.00%3.27B0.00%3.27B0.00%3.27B0.00%3.27B0.00%3.27B0.00%3.27B0.00%3.27B0.00%3.27B0.00%3.27B0.00%3.27B
-Other intangible assets 8.12%1.27B8.12%1.27B8.28%1.22B8.75%1.21B8.33%1.18B7.93%1.17B7.93%1.17B4.86%1.12B4.52%1.11B3.80%1.09B
Defined pension benefit -0.87%2.51B-0.87%2.51B-4.92%2.42B-0.29%2.44B3.77%2.56B-2.05%2.54B-2.05%2.54B11.98%2.54B-6.89%2.45B-2.49%2.47B
Non current deferred assets -25.51%774M-25.51%774M-23.78%846M2,176.00%1.14B1,988.68%1.11B1,978.00%1.04B1,978.00%1.04B2,034.62%1.11B-10.71%50M-5.36%53M
Other non current assets 12.50%117M12.50%117M--250M--235M----16.85%104M16.85%104M------------
Total non current assets 5.21%23.3B5.21%23.3B6.65%22.65B13.63%22.86B14.87%22.93B11.22%22.15B11.22%22.15B9.92%21.24B-0.80%20.12B-1.18%19.96B
Total assets 0.02%31.22B0.02%31.22B-1.50%31.02B2.64%31.15B7.54%31.96B3.44%31.21B3.44%31.21B6.06%31.5B-1.42%30.35B-2.50%29.71B
Liabilities
Current liabilities
Current debt and capital lease obligation 69.06%2.97B69.06%2.97B85.84%3.07B-4.45%1.55B66.06%2.02B102.66%1.76B102.66%1.76B72.26%1.65B58.11%1.62B4.39%1.21B
-Current debt 108.86%2.43B108.86%2.43B133.80%2.53B-1.11%1.07B108.93%1.45B223.96%1.16B223.96%1.16B144.90%1.08B108.11%1.08B15.09%694M
-Current capital lease obligation -9.12%538M-9.12%538M-4.72%545M-11.09%481M8.85%566M16.77%592M16.77%592M10.42%572M6.92%541M-7.14%520M
Current deferred liabilities 11.36%6.65B11.36%6.65B10.28%6.58B3.08%7.13B2.03%7B2.77%5.98B2.77%5.98B0.56%5.97B0.16%6.92B4.54%6.86B
Current liabilities 23.46%14.13B23.46%14.13B27.90%14.23B8.88%13.15B12.39%12.94B14.49%11.45B14.49%11.45B19.22%11.13B12.50%12.07B10.82%11.51B
Non current liabilities
Long term debt and capital lease obligation -21.13%8.61B-21.13%8.61B-18.82%8.7B-5.63%10.25B-4.78%10.71B-16.01%10.92B-16.01%10.92B-20.11%10.72B-21.67%10.86B-24.52%11.25B
-Long term debt -27.65%6.14B-27.65%6.14B-12.48%8.7B-6.76%8.3B-6.05%8.73B-18.90%8.48B-18.90%8.48B-11.76%9.94B-23.50%8.9B-25.71%9.3B
-Long term capital lease obligation 1.60%2.47B1.60%2.47B149.29%1.94B-0.46%1.95B1.23%1.98B-4.10%2.43B-4.10%2.43B-63.84%777M-12.15%1.96B-18.28%1.95B
Long term provisions -6.29%1.34B-6.29%1.34B-12.95%1.27B-5.43%1.24B3.71%1.31B16.63%1.43B16.63%1.43B6.19%1.46B1.63%1.31B-8.46%1.27B
Employee benefits -16.72%1.53B-16.72%1.53B-12.86%1.61B-5.85%1.64B3.28%1.86B-1.76%1.84B-1.76%1.84B10.96%1.84B-4.28%1.74B-1.96%1.8B
Non current deferred liabilities -5.72%2.85B-5.72%2.85B-6.64%2.88B-2.78%2.94B0.00%3.01B-1.21%3.03B-1.21%3.03B-0.19%3.09B-7.80%3.03B-6.48%3.01B
Other non current liabilities -3.14%154M-3.14%154M-10.53%153M-15.03%147M-22.99%134M-26.39%159M-26.39%159M-37.13%171M-54.47%173M-34.09%174M
Total non current liabilities -16.59%14.49B-16.59%14.49B-15.43%14.61B-5.23%16.21B-2.70%17.03B-10.34%17.37B-10.34%17.37B-12.80%17.28B-17.08%17.11B-19.00%17.5B
Total liabilities -0.68%28.62B-0.68%28.62B1.54%28.84B0.61%29.36B3.29%29.96B-1.89%28.82B-1.89%28.82B-2.55%28.4B-6.96%29.18B-9.32%29.01B
Shareholders'equity
Share capital -12.90%2.28B-12.90%2.28B-17.35%2.29B-16.73%2.29B-9.15%2.49B-4.81%2.61B-4.81%2.61B0.80%2.77B0.00%2.74B0.00%2.74B
-common stock -12.90%2.28B-12.90%2.28B-17.35%2.29B-16.73%2.29B-9.15%2.49B-4.81%2.61B-4.81%2.61B0.80%2.77B0.00%2.74B0.00%2.74B
Additional paid-in capital 11.41%166M11.41%166M11.64%163M11.89%160M12.23%156M12.03%149M12.03%149M12.31%146M12.60%143M12.10%139M
Retained earnings 162.15%202M162.15%202M-185.06%-222M62.30%-627M71.46%-603M83.94%-325M83.94%-325M111.53%261M51.09%-1.66B51.26%-2.11B
Gains losses not affecting retained earnings -8.33%-52M-8.33%-52M43.21%-46M47.46%-31M16.92%-54M15.79%-48M15.79%-48M-35.00%-81M-13.46%-59M-38.30%-65M
Total stockholders'equity 8.50%2.59B8.50%2.59B-29.46%2.18B53.39%1.79B182.55%1.99B200.00%2.39B200.00%2.39B462.18%3.09B300.52%1.17B146.57%705M
Total equity 8.50%2.59B8.50%2.59B-29.46%2.18B53.39%1.79B182.55%1.99B200.00%2.39B200.00%2.39B462.18%3.09B300.52%1.17B146.57%705M
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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