TSX:CF-PR-A - Toronto Stock Exchange - CA1348013071 - Currency: CAD
TTM (2024-12-31) | 2024 (2024-3-31) | 2023 (2023-3-31) | 2022 (2022-3-31) | 2021 (2021-3-31) | ||||
---|---|---|---|---|---|---|---|---|
CASH FLOWS FROM OPERATING ACTIVITIES | ||||||||
Net Income | 22.20M | 29.78M | -54.70M | 270.60M | 269.80M | |||
Depreciation Amortization | 74.26M | 68.06M | 68.00M | 51.50M | 51.20M | |||
Income Taxes - Deferred | -6.64M | 15.24M | 100.00K | -14.40M | -33.20M | |||
Change In Working Capital | 548.47M | -149.38M | -769.20M | -206.50M | 645.00M | |||
Interest Paid | 123.81M | 92.04M | 52.60M | 22.20M | 27.40M | |||
Taxes Paid | 29.74M | 36.43M | 64.50M | 160.10M | 83.90M | |||
Other non cash items | 71.38M | 23.41M | 171.40M | 162.10M | 162.80M | |||
OPERATING CASH FLOW | 709.65M | -12.88M | -584.40M | 263.30M | 1.10B | |||
CASH FLOWS FROM INVESTING ACTIVITIES | ||||||||
Capital Expenditure | -92.27M | -25.67M | -28.40M | -14.70M | -7.10M | |||
Other Investing Activity | -34.82M | -7.12M | -259.80M | -187.30M | -79.00M | |||
INVESTING CASH FLOW | -127.09M | -32.79M | -288.10M | -202.00M | -86.10M | |||
CASH FLOWS FROM FINANCING ACTIVITIES | ||||||||
Debt Issued/Reduced | -16.42M | -49.04M | 113.10M | -118.40M | -38.90M | |||
Stock Issued/Repurchased | 7.77M | 12.21M | 28.10M | 22.90M | -45.40M | |||
Dividend Paid | -68.05M | -67.36M | -62.30M | -47.40M | -33.30M | |||
Other Financing Activity | -8.04M | -6.41M | -7.70M | N/A | -73.60M | |||
FINANCING CASH FLOW | -84.73M | -110.60M | 71.20M | -142.90M | -117.60M | |||
Exchange Rate Effect | 18.70M | 3.44M | 21.50M | -13.40M | -5.70M | |||
CHANGE IN CASH | 516.53M | -152.83M | -779.80M | -95.00M | 886.30M | |||
FREE CASH FLOW | ||||||||
Operating Cash Flow | 709.65M | -12.88M | -584.40M | 263.30M | 1.10B | |||
Capital Expenditure | -92.27M | -25.67M | -28.40M | -14.70M | -7.10M | |||
FREE CASH FLOW | 617.39M | -38.56M | -612.80M | 248.60M | 1.09B |
All data in CAD