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North American Construction Group Ltd. (NOA.TO)

Toronto - Toronto Real Time Price. Currency in CAD
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18.86-0.16 (-0.84%)
As of 11:02AM EDT. Market open.
Currency in CAD

Valuation Measures

Market Cap (intraday) 5535.97M
Enterprise Value 3949.37M
Trailing P/E 14.91
Forward P/E 17.86
PEG Ratio (5 yr expected) 10.89
Price/Sales (ttm)0.99
Price/Book (mrq)2.09
Enterprise Value/Revenue 31.76
Enterprise Value/EBITDA 76.40

Trading Information

Stock Price History

Beta (5Y Monthly) 1.54
52-Week Change 3102.34%
S&P500 52-Week Change 333.47%
52 Week High 321.30
52 Week Low 37.99
50-Day Moving Average 317.79
200-Day Moving Average 316.64

Share Statistics

Avg Vol (3 month) 389.96k
Avg Vol (10 day) 371.54k
Shares Outstanding 528.42M
Implied Shares Outstanding 6N/A
Float 22.86M
% Held by Insiders 18.04%
% Held by Institutions 164.93%
Shares Short (Aug. 30, 2021) 4888.59k
Short Ratio (Aug. 30, 2021) 413.32
Short % of Float (Aug. 30, 2021) 4N/A
Short % of Shares Outstanding (Aug. 30, 2021) 43.13%
Shares Short (prior month Jul. 29, 2021) 41.02M

Dividends & Splits

Forward Annual Dividend Rate 40.16
Forward Annual Dividend Yield 40.84%
Trailing Annual Dividend Rate 30.16
Trailing Annual Dividend Yield 30.84%
5 Year Average Dividend Yield 41.14
Payout Ratio 412.80%
Dividend Date 3Oct. 07, 2021
Ex-Dividend Date 4Aug. 29, 2021
Last Split Factor 2N/A
Last Split Date 3N/A

Financial Highlights

Fiscal Year

Fiscal Year Ends Dec. 30, 2020
Most Recent Quarter (mrq)Jun. 29, 2021

Profitability

Profit Margin 7.23%
Operating Margin (ttm)8.33%

Management Effectiveness

Return on Assets (ttm)3.44%
Return on Equity (ttm)15.96%

Income Statement

Revenue (ttm)539.35M
Revenue Per Share (ttm)18.81
Quarterly Revenue Growth (yoy)98.00%
Gross Profit (ttm)183.39M
EBITDA 148.27M
Net Income Avi to Common (ttm)39M
Diluted EPS (ttm)1.26
Quarterly Earnings Growth (yoy)-79.40%

Balance Sheet

Total Cash (mrq)16.79M
Total Cash Per Share (mrq)0.59
Total Debt (mrq)425.65M
Total Debt/Equity (mrq)167.37
Current Ratio (mrq)0.99
Book Value Per Share (mrq)9.04

Cash Flow Statement

Operating Cash Flow (ttm)132.1M
Levered Free Cash Flow (ttm)1.57M