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TSX:NOA

North American Construction Group

  • Stock

CAD

Last Close

25.91

25/09 14:30

Market Cap

708.59M

Beta: 1.57

Volume Today

7.08K

Avg: 63.92K

PE Ratio

11.19

PFCF: 18.60

Dividend Yield

1.33%

Payout:13.25%

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-18.05M
-
-697K
96.14%
-7.47M
971.74%
-445K
94.04%
5.26M
1,282.92%
15.32M
191.05%
37.13M
142.37%
49.21M
32.52%
51.41M
4.47%
67.37M
31.05%
63.14M
6.28%
depreciation and amortization
39.77M
-
46.58M
17.12%
42.03M
9.76%
42.48M
1.08%
45.65M
7.46%
58.76M
28.71%
102.29M
74.08%
89.59M
12.42%
108.02M
20.57%
119.27M
10.42%
131.32M
10.10%
deferred income tax
-3.66M
-
61K
101.66%
-114K
286.89%
-49K
57.02%
1.20M
2,557.14%
6.10M
406.31%
2.85M
53.33%
11.26M
295.92%
8.29M
26.45%
15.45M
86.43%
15.98M
3.46%
stock based compensation
5.47M
-
70K
98.72%
-306K
537.14%
4.82M
1,674.84%
3.65M
24.22%
11.53M
215.77%
9.44M
18.11%
1.94M
79.41%
11.61M
497.02%
4.78M
58.81%
15.83M
231.13%
change in working capital
25.50M
-
-7.49M
129.35%
39.67M
630.05%
-5.78M
114.57%
-7.03M
21.61%
14.18M
301.71%
8.52M
39.91%
-2.81M
133.01%
671K
123.86%
-13.31M
2,083.61%
51.05M
483.55%
accounts receivables
29.77M
-
3.67M
87.66%
45.37M
1,134.81%
-15.34M
133.82%
-7.15M
53.42%
-22.36M
212.80%
5.39M
124.12%
29.46M
446.30%
-30.65M
204.02%
-10.96M
64.25%
38.59M
452.21%
inventory
-644K
-
-1.54M
139.44%
3.75M
342.93%
-1.44M
138.36%
-1.29M
10.37%
-443K
65.61%
-12.58M
2,739.50%
2.48M
119.68%
-11.24M
554.26%
-5.35M
52.38%
-2.52M
52.90%
accounts payables
-31.85M
-
9.93M
131.17%
-29.75M
399.67%
4.52M
115.18%
5.64M
24.86%
17.66M
213.21%
28.60M
61.90%
-46.83M
263.75%
31.23M
166.69%
12.75M
59.18%
9.59M
24.82%
other working capital
28.23M
-
-19.55M
169.25%
20.31M
203.92%
6.48M
68.08%
-4.23M
165.28%
19.32M
556.30%
-12.89M
166.76%
12.08M
193.70%
11.33M
6.25%
-9.75M
186.07%
5.40M
155.37%
other non cash items
54.21M
-
2.71M
95.01%
3.29M
21.44%
-1.20M
136.41%
1.00M
183.70%
3.48M
247.85%
-2.29M
165.74%
-1.92M
16.21%
-14.81M
671.95%
-24.36M
64.49%
220.10M
1,003.74%
net cash provided by operating activities
103.23M
-
41.23M
60.06%
77.10M
87.00%
39.83M
48.34%
49.74M
24.89%
109.37M
119.86%
157.94M
44.41%
147.27M
6.76%
165.18M
12.16%
169.20M
2.43%
264.61M
56.39%
investments in property plant and equipment
-34.18M
-
-36.14M
5.73%
-33.27M
7.93%
-27.38M
17.71%
-53.88M
96.79%
-81.46M
51.19%
-157.45M
93.29%
-117.57M
25.33%
-113.79M
3.22%
-115.26M
1.29%
-203.49M
76.54%
acquisitions net
-1.18M
-
-31.91M
2,611.21%
-10.63M
66.69%
-1.81M
82.97%
-13.35M
637.79%
-2.21M
83.49%
-41.25M
1,770.84%
purchases of investments
-10.63M
-
-1.81M
82.97%
15.91M
979.17%
-16.60M
204.32%
-2.73M
83.54%
sales maturities of investments
2.94M
-
3.54M
20.49%
7.07M
99.75%
16.60M
134.76%
2.60M
84.36%
other investing activites
189.92M
-
16.65M
91.23%
38.04M
128.50%
16.86M
55.67%
21.46M
27.27%
-115.25M
637.00%
15.09M
113.10%
4.08M
72.97%
4.89M
19.93%
20M
308.83%
2.60M
87.02%
net cash used for investing activites
155.74M
-
-19.49M
112.51%
4.77M
124.47%
-10.52M
320.51%
-33.59M
219.47%
-228.61M
580.50%
-160.68M
29.72%
-113.57M
29.32%
-99.27M
12.59%
-97.47M
1.81%
-244.88M
151.24%
debt repayment
-405.19M
-
-120.05M
70.37%
-68.02M
43.35%
-50.42M
25.87%
-49.10M
2.62%
-120.89M
146.21%
-225.04M
86.15%
-116.98M
48.02%
-198.32M
69.52%
-58.64M
70.43%
-24.43M
58.34%
common stock issued
89.66M
-
27.71M
69.10%
13.54M
51.13%
47.61M
251.57%
229.70M
-
145.99M
36.44%
135.57M
7.14%
common stock repurchased
-11.74M
-
-1.94M
83.47%
-6.18M
218.65%
-9.20M
48.81%
-14.97M
62.65%
-9.54M
36.27%
-10.39M
8.88%
-19.00M
82.93%
-22.02M
15.88%
-36.16M
64.23%
-5.99M
83.43%
dividends paid
-2.10M
-
-3.29M
56.56%
-1.82M
44.84%
-2.19M
20.25%
-2.01M
8.19%
-2.54M
26.42%
-4.37M
72.36%
-4.42M
1.19%
-7.77M
75.74%
-10.03M
29.09%
other financing activites
170.51M
-
-87K
100.05%
-686K
688.51%
-99K
85.57%
-2.98M
2,912.12%
263.00M
8,919.68%
-2.97M
101.13%
-965K
67.50%
-3.57M
269.64%
83.08M
2,429.18%
-10.37M
112.48%
net cash used provided by financing activities
-246.42M
-
-34.53M
85.99%
-50.47M
46.18%
-48M
4.90%
-21.63M
54.94%
130.56M
703.63%
-11.23M
108.60%
4.67M
141.60%
-92.76M
2,085.42%
-19.49M
78.99%
-1.97M
89.92%
effect of forex changes on cash
27K
-
2K
-
304K
15,100%
1.71M
460.86%
net change in cash
12.58M
-
-12.79M
201.65%
31.39M
345.54%
-18.68M
159.52%
-5.48M
70.67%
11.32M
306.61%
-13.96M
223.34%
38.37M
374.79%
-26.85M
169.96%
52.54M
295.72%
19.47M
62.94%
cash at beginning of period
1.16M
-
13.74M
1,080.58%
956K
93.04%
32.35M
3,284.00%
13.67M
57.76%
8.19M
40.10%
19.51M
138.31%
5.54M
71.58%
43.45M
683.68%
16.60M
61.79%
69.14M
316.51%
cash at end of period
13.74M
-
956K
93.04%
32.35M
3,284.00%
13.67M
57.76%
8.19M
40.10%
19.51M
138.31%
5.54M
71.58%
43.91M
692.12%
16.60M
62.20%
69.14M
316.51%
88.61M
28.16%
operating cash flow
103.23M
-
41.23M
60.06%
77.10M
87.00%
39.83M
48.34%
49.74M
24.89%
109.37M
119.86%
157.94M
44.41%
147.27M
6.76%
165.18M
12.16%
169.20M
2.43%
264.61M
56.39%
capital expenditure
-34.18M
-
-36.14M
5.73%
-33.27M
7.93%
-27.38M
17.71%
-53.88M
96.79%
-81.46M
51.19%
-157.45M
93.29%
-117.57M
25.33%
-113.79M
3.22%
-115.26M
1.29%
-203.49M
76.54%
free cash flow
69.05M
-
5.09M
92.62%
43.83M
760.55%
12.45M
71.59%
-4.13M
133.20%
27.91M
775.21%
496K
98.22%
29.70M
5,887.90%
51.39M
73.03%
53.94M
4.96%
61.12M
13.31%

All numbers in CAD (except ratios and percentages)