CAE INC Financial Summary

Quick Answer

CAE INC reported revenue of C$4.71 billion for fiscal year 2025, reported under IFRS on Form 20-F.

Reported under IFRS (SEC Form 20-F). Figures are shown in USD where the company provided them, otherwise in its reporting currency — each value exactly as filed with the SEC, not converted.

CAE INC — Key Financials by Year

Metric 2025 2024 2023 2022 2021 2020
Revenue C$4.71B
+9.9%
C$4.28B
+6.8%
C$4.01B
+19.0%
C$3.37B
+13.1%
C$2.98B
-17.7%
C$3.62B
+9.7%
Gross Profit C$1.30B
+12.6%
C$1.15B
+6.6%
C$1.08B
+13.4%
C$955.50M
+24.9%
C$765.00M
-29.4%
C$1.08B
+15.1%
Operating Profit C$729.20M
+493.3%
-C$185.40M
-139.8%
C$466.00M
+64.0%
C$284.20M
+487.2%
C$48.40M
-91.0%
C$537.10M
+11.8%
Net Income C$415.00M
+240.1%
-C$296.30M
-227.8%
C$231.90M
+54.6%
C$150.00M
+415.8%
-C$47.50M
-114.9%
C$318.90M
-6.2%
Total Assets C$11.21B
+14.0%
C$9.83B
-5.8%
C$10.44B
+9.0%
C$9.58B
+9.5%
C$8.75B
+3.1%
C$8.48B
+18.4%
Total Liabilities C$6.24B
+12.8%
C$5.53B
-5.4%
C$5.85B
+6.5%
C$5.49B
-0.8%
C$5.54B
-6.3%
C$5.91B
+24.2%
Total Equity C$4.98B
+15.7%
C$4.30B
-6.2%
C$4.59B
+12.3%
C$4.09B
+27.2%
C$3.21B
+24.6%
C$2.58B
+8.2%
Operating Cash Flow C$896.50M
+58.1%
C$566.90M
+38.8%
C$408.40M
-2.3%
C$418.20M
+14.1%
C$366.60M
-32.7%
C$545.10M
+2.8%
R&D Expense C$123.20M
-17.8%
C$149.80M
+16.1%
C$129.00M
+6.8%
C$120.80M
+15.4%
C$104.70M
-23.9%
C$137.50M
+35.6%
  • CAE INC reported revenue of C$4.71 billion for fiscal year 2025.
  • That is an increase of +9.9% versus the prior fiscal year.
  • CAE INC reported gross profit of C$1.30 billion for fiscal year 2025.
  • That is an increase of +12.6% versus the prior fiscal year.
  • CAE INC reported operating profit of C$729.20 million for fiscal year 2025.
  • That is an increase of +493.3% versus the prior fiscal year.
  • CAE INC reported net income of C$415.00 million for fiscal year 2025.
  • That is an increase of +240.1% versus the prior fiscal year.
  • CAE INC reported total assets of C$11.21 billion for fiscal year 2025.
  • That is an increase of +14.0% versus the prior fiscal year.
  • CAE INC reported total liabilities of C$6.24 billion for fiscal year 2025.
  • That is an increase of +12.8% versus the prior fiscal year.
  • CAE INC reported total equity of C$4.98 billion for fiscal year 2025.
  • That is an increase of +15.7% versus the prior fiscal year.
  • CAE INC reported operating cash flow of C$896.50 million for fiscal year 2025.
  • That is an increase of +58.1% versus the prior fiscal year.
  • CAE INC reported r&d expense of C$123.20 million for fiscal year 2025.
  • That is a decrease of -17.8% versus the prior fiscal year.
  • All figures are sourced from SEC EDGAR XBRL filings, last verified June 19, 2026.

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