av/gfl-environmental--big.svg

COM:GFLENV

GFL Environmental Inc.

  • Stock

CAD

Last Close

63.93

22/11 21:00

Market Cap

19.12B

Beta: -

Volume Today

205.63K

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Mar '18
Mar '19
Jun '19
Sep '19
Dec '19
Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
Sep '24
net income
-57.23M
-
-93.39M
63.20%
-68.03M
27.15%
-109.90M
61.54%
-180.35M
64.11%
-277.95M
54.11%
-115.50M
58.45%
-114.70M
0.69%
-486.70M
324.32%
-226.20M
53.52%
25.20M
111.14%
-245.20M
1,073.02%
-77.40M
68.43%
27.40M
135.40%
64.30M
134.67%
-183.70M
385.69%
-219.10M
19.27%
-217.80M
0.59%
293.80M
234.89%
18.30M
93.77%
-52.20M
385.25%
-172.80M
231.03%
-471.20M
172.69%
110.60M
123.47%
depreciation and amortization
61.67M
-
174.84M
183.51%
181.65M
3.89%
194.30M
6.96%
248.66M
27.98%
221.81M
10.80%
234.70M
5.81%
233.90M
0.34%
547.20M
133.95%
314.60M
42.51%
332M
5.53%
340.80M
2.65%
405.60M
19.01%
357.40M
11.88%
374.50M
4.78%
388.20M
3.66%
405.40M
4.43%
378.60M
6.61%
371.80M
1.80%
349.20M
6.08%
390.10M
11.71%
363.70M
6.77%
397.90M
9.40%
399.90M
0.50%
deferred income tax
-17.27M
-
-29.44M
70.48%
-22.09M
24.94%
-33.30M
50.71%
-72.77M
118.52%
-87.73M
20.56%
-38.30M
56.34%
-44.90M
17.23%
-190M
323.16%
-89.30M
53%
15.40M
117.25%
-101.80M
761.04%
-13.50M
86.74%
-23.60M
74.81%
-47.90M
102.97%
-75.80M
58.25%
-23.80M
68.60%
-42.10M
76.89%
238.90M
667.46%
-18M
107.53%
-8.40M
53.33%
-92.80M
1,004.76%
-81.30M
12.39%
20.50M
125.22%
stock based compensation
2.34M
-
3.62M
54.66%
3.62M
0.06%
3.60M
0.58%
3.58M
0.47%
15.68M
337.51%
4.20M
73.21%
7.20M
71.43%
10.80M
50%
9.70M
10.19%
10.60M
9.28%
10.90M
2.83%
14.50M
33.03%
13.50M
6.90%
13.10M
2.96%
13.40M
2.29%
15.10M
12.69%
15M
0.66%
15.20M
1.33%
26.50M
74.34%
68.10M
156.98%
57M
16.30%
18M
-
change in working capital
-26.04M
-
-99.80M
283.22%
-54.20M
45.70%
-48.10M
11.25%
127.34M
364.73%
-53.98M
142.39%
-28.50M
47.20%
31.10M
209.12%
56.60M
81.99%
-34.10M
160.25%
-9.90M
70.97%
-74M
647.47%
36.50M
149.32%
-69.60M
290.68%
-90.80M
30.46%
-40.80M
55.07%
115.70M
383.58%
-65.80M
156.87%
-116.70M
77.36%
12.90M
111.05%
200.60M
1,455.04%
-53.20M
126.52%
-76.70M
44.17%
-38.40M
49.93%
accounts receivables
-111.50M
-
108.90M
197.67%
71.60M
34.25%
-85M
218.72%
-36.90M
56.59%
108M
392.68%
-135.80M
-
inventory
accounts payables
-39.28M
-
-103.30M
162.98%
17.58M
117.01%
24.10M
37.12%
74.98M
211.12%
-11.55M
115.40%
14.30M
-
63.70M
-
60.60M
4.87%
82.60M
36.30%
-41.50M
150.24%
-110M
-
23.50M
121.36%
46M
95.74%
37.10M
19.35%
111.40M
-
other working capital
13.24M
-
3.50M
73.53%
-71.77M
2,148.26%
-72.20M
0.60%
52.36M
172.52%
-42.43M
181.04%
16.80M
-
-73.60M
-
-134.60M
82.88%
-46.10M
65.75%
-28.10M
39.05%
70.70M
-
6.80M
90.38%
-27.40M
502.94%
-55.20M
101.46%
3.80M
106.88%
55.50M
1,360.53%
-53.20M
195.86%
-52.30M
1.69%
-38.40M
26.58%
other non cash items
17.98M
-
24.80M
37.90%
14.71M
40.67%
75.10M
410.47%
6.54M
91.29%
90.88M
1,289.62%
75.60M
16.81%
144.10M
90.61%
225.60M
56.56%
238M
5.50%
-195.80M
182.27%
293.20M
249.74%
-81.90M
127.93%
-129.10M
57.63%
-82M
36.48%
184.80M
325.37%
109.70M
40.64%
124.60M
13.58%
-542.30M
535.23%
-263.10M
51.48%
-208.80M
20.64%
949.60M
554.79%
1.41B
48.67%
-163.50M
111.58%
net cash provided by operating activities
-18.54M
-
-19.37M
4.44%
55.66M
387.41%
81.70M
46.78%
133M
62.79%
-91.29M
168.64%
132.20M
244.81%
256.70M
94.18%
163.50M
36.31%
212.70M
30.09%
177.50M
16.55%
223.90M
26.14%
283.80M
26.75%
176M
37.98%
231.20M
31.36%
286.10M
23.75%
403M
40.86%
192.50M
52.23%
260.70M
35.43%
125.80M
51.75%
389.40M
209.54%
267.10M
31.41%
360.30M
34.89%
347.10M
3.66%
investments in property plant and equipment
-22.08M
-
-99.58M
350.91%
-107.30M
7.75%
-107.10M
0.18%
-143.89M
34.35%
-100.15M
30.40%
-119.80M
19.62%
-85.70M
28.46%
-122.60M
43.06%
-131.30M
7.10%
-151.80M
15.61%
-134.70M
11.26%
-229.40M
70.30%
-203.20M
11.42%
-129M
36.52%
-210.60M
63.26%
-237.30M
12.68%
-272.90M
15.00%
-280.60M
2.82%
-276.30M
1.53%
-231.50M
16.21%
-296.30M
27.99%
-298.40M
0.71%
-281.10M
5.80%
acquisitions net
-236.32M
-
-113.99M
51.77%
-73.25M
35.73%
-448.50M
512.25%
-94.09M
79.02%
-1.13B
1,096.71%
-12.30M
98.91%
-26.20M
113.01%
-2.78B
10,498.09%
-68.30M
97.54%
-135M
97.66%
-1.10B
714.74%
-996.50M
9.40%
-79.30M
92.04%
-899.90M
1,034.80%
-136.50M
84.83%
-202.50M
48.35%
-222M
9.63%
-54.20M
75.59%
-392.30M
623.80%
-277.50M
29.26%
-103.90M
62.56%
-370M
256.11%
-62.10M
83.22%
purchases of investments
-11.20M
-
-4.60M
58.93%
-4.70M
2.17%
-32.80M
597.87%
37.50M
214.33%
sales maturities of investments
11.20M
-
4.60M
58.93%
4.70M
2.17%
1.35B
28,646.81%
-37.50M
102.78%
other investing activites
-70.38M
-
1M
101.42%
14.31M
1,330.60%
3.80M
73.44%
1.71M
55.11%
400K
76.55%
4M
900%
6.10M
52.50%
5.50M
9.84%
3.80M
30.91%
65.40M
1,621.05%
101.20M
54.74%
89.30M
11.76%
91.90M
2.91%
224.30M
144.07%
12.40M
94.47%
35.50M
186.29%
13.20M
62.82%
334.80M
2,436.36%
30.60M
90.86%
7.70M
-
33.60M
-
net cash used for investing activites
-328.78M
-
-212.57M
35.35%
-166.25M
21.79%
-551.80M
231.92%
-236.27M
57.18%
-1.23B
418.78%
-128.10M
89.55%
-105.80M
17.41%
-2.89B
2,635.16%
-195.80M
93.23%
-221.40M
13.07%
-1.13B
411.92%
-1.14B
0.28%
-190.60M
83.23%
-804.60M
322.14%
-334.70M
58.40%
-404.30M
20.79%
-481.70M
19.14%
1.32B
373.68%
-638M
148.40%
-509M
20.22%
-400.20M
21.38%
-668.40M
67.02%
-309.60M
53.68%
debt repayment
-234.99M
-
-20.68M
91.20%
-451.57M
2,084.04%
-153.60M
65.99%
-1.01B
559.12%
-4.35B
329.51%
-112.60M
97.41%
-59.50M
47.16%
-1.80B
2,928.07%
-453.20M
74.85%
-942.10M
107.88%
-88.60M
90.60%
-670.30M
656.55%
-203.90M
69.58%
-413.60M
102.84%
-78.30M
81.07%
-349.70M
346.62%
-594.20M
69.92%
-2.65B
346.21%
-445.90M
83.18%
-172.20M
61.38%
-115.60M
32.87%
-434.30M
275.69%
-66.90M
84.60%
common stock issued
3.26B
-
785.10M
-
372.50M
-
common stock repurchased
-5.12M
-
-804K
84.31%
-800K
-
-4.16M
420.13%
-804K
80.68%
2.04B
-
205.90M
-
dividends paid
-1.85B
-
-8.70M
-
-4.40M
49.43%
-4.20M
4.55%
-4.50M
7.14%
-4.40M
2.22%
-4.80M
9.09%
-4.70M
2.08%
-5M
6.38%
-5.40M
8%
-5.60M
3.70%
-5.60M
0%
-6.50M
16.07%
-6.40M
1.54%
-6.50M
1.56%
-6.40M
1.54%
-7.10M
10.94%
-7.20M
1.41%
other financing activites
595.87M
-
237.29M
60.18%
775.85M
226.96%
418.80M
46.02%
1.69B
303.80%
3.70B
118.97%
775M
79.07%
1.01B
30.36%
-41M
104.06%
428.70M
1,145.61%
1.31B
204.67%
1.83B
39.93%
-4M
100.22%
228.20M
5,805%
1.05B
360.47%
151.40M
85.59%
204.80M
35.27%
886.60M
332.91%
1.08B
22.14%
1.06B
2.37%
271.20M
74.35%
-4.10M
101.51%
-24.70M
502.44%
300K
101.21%
net cash used provided by financing activities
355.75M
-
215.81M
39.34%
324.28M
50.26%
264.40M
18.47%
674.54M
155.12%
759.63M
12.62%
662.40M
12.80%
942.10M
42.23%
974.10M
3.40%
-28.70M
102.95%
359.50M
1,352.61%
1.73B
382.50%
-100.70M
105.81%
19.60M
119.46%
632.20M
3,125.51%
67.70M
89.29%
-150.50M
322.30%
286.80M
290.56%
-1.57B
649.16%
604.90M
138.41%
92.50M
84.71%
67.40M
27.14%
377.90M
460.68%
-73.80M
119.53%
effect of forex changes on cash
-3.28M
-
8.69M
364.85%
-4.42M
150.83%
-3.60M
18.48%
3.48M
196.81%
73.95M
2,021.98%
-34M
145.98%
300K
100.88%
-33.80M
11,366.67%
-4.30M
87.28%
-16.30M
279.07%
14M
185.89%
-5.60M
140%
-6.10M
8.93%
-17.50M
186.89%
-12.30M
29.71%
-3.50M
71.54%
-6.70M
91.43%
5.20M
177.61%
-700K
113.46%
-11.40M
1,528.57%
1.60M
-
net change in cash
5.15M
-
-7.43M
244.37%
209.28M
2,914.77%
-209.30M
200.01%
574.75M
374.61%
-483.44M
184.11%
632.50M
230.83%
1.09B
72.85%
-1.79B
263.72%
-16.10M
99.10%
299.30M
1,959.01%
839.10M
180.35%
-959.10M
214.30%
-1.10M
99.89%
41.30M
3,854.55%
6.80M
83.54%
-155.30M
2,383.82%
-9.10M
94.14%
-63.80M
601.10%
92M
244.20%
-38.50M
141.85%
-65.70M
70.65%
64.20M
197.72%
-34.70M
154.05%
cash at beginning of period
10K
-
7.45M
74,350%
10K
99.87%
209.30M
2,092,900%
45K
99.98%
574.80M
1,277,226.67%
91.40M
84.10%
723.90M
692.01%
1.82B
151.03%
27.20M
98.50%
11.10M
59.19%
310.40M
2,696.40%
1.15B
270.33%
190.40M
83.44%
189.30M
0.58%
230.60M
21.82%
237.40M
2.95%
82.10M
65.42%
73M
11.08%
82.20M
12.60%
174.20M
111.92%
135.70M
22.10%
70M
48.42%
134.20M
91.71%
cash at end of period
5.16M
-
10K
99.81%
209.29M
2,092,780%
574.80M
-
91.36M
84.11%
723.90M
692.39%
1.82B
151.03%
27.20M
98.50%
11.10M
59.19%
310.40M
2,696.40%
1.15B
270.33%
190.40M
83.44%
189.30M
0.58%
230.60M
21.82%
237.40M
2.95%
82.10M
65.42%
73M
11.08%
9.20M
87.40%
174.20M
1,793.48%
135.70M
22.10%
70M
48.42%
134.20M
91.71%
99.50M
25.86%
operating cash flow
-18.54M
-
-19.37M
4.44%
55.66M
387.41%
81.70M
46.78%
133M
62.79%
-91.29M
168.64%
132.20M
244.81%
256.70M
94.18%
163.50M
36.31%
212.70M
30.09%
177.50M
16.55%
223.90M
26.14%
283.80M
26.75%
176M
37.98%
231.20M
31.36%
286.10M
23.75%
403M
40.86%
192.50M
52.23%
260.70M
35.43%
125.80M
51.75%
389.40M
209.54%
267.10M
31.41%
360.30M
34.89%
347.10M
3.66%
capital expenditure
-22.08M
-
-99.58M
350.91%
-107.30M
7.75%
-107.10M
0.18%
-143.89M
34.35%
-100.15M
30.40%
-119.80M
19.62%
-85.70M
28.46%
-122.60M
43.06%
-131.30M
7.10%
-151.80M
15.61%
-134.70M
11.26%
-229.40M
70.30%
-203.20M
11.42%
-129M
36.52%
-210.60M
63.26%
-237.30M
12.68%
-272.90M
15.00%
-280.60M
2.82%
-276.30M
1.53%
-231.50M
16.21%
-296.30M
27.99%
-298.40M
0.71%
-281.10M
5.80%
free cash flow
-40.63M
-
-118.95M
192.78%
-51.64M
56.59%
-25.40M
50.81%
-10.89M
57.13%
-191.44M
1,657.96%
12.40M
106.48%
171M
1,279.03%
40.90M
76.08%
81.40M
99.02%
25.70M
68.43%
89.20M
247.08%
54.40M
39.01%
-27.20M
150%
102.20M
475.74%
75.50M
26.13%
165.70M
119.47%
-80.40M
148.52%
-19.90M
75.25%
-150.50M
656.28%
157.90M
204.92%
-29.20M
118.49%
61.90M
311.99%
66M
6.62%

All numbers in CAD (except ratios and percentages)