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22,259.16
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(-0.14%)
S&P 500
5,187.67
-0.03
(-0.00%)
DOW
39,056.39
+172.13
(+0.44%)
CAD/USD
0.7283
-0.0005
(-0.07%)
CRUDE OIL
79.33
+0.34
(+0.43%)
Bitcoin CAD
84,535.22
-1,200.39
(-1.40%)
AtkinsRéalis (SNCAF)
Other OTC - Other OTC Delayed Price. Currency in USD
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40.60
+1.20
(+3.05%)
At close: 01:16PM EDT
Summary
Chart
Conversations
Statistics
Historical Data
Profile
Financials
Analysis
Options
Holders
Sustainability
Show
:
Income Statement
Balance Sheet
Cash Flow
Annual
Quarterly
Cash Flow
Currency in CAD.
All numbers in thousands
Breakdown
ttm
2023-12-31
2022-12-31
2021-12-31
2020-12-31
Cash flows from operating activities
Net Income
287,208
287,208
9,750
666,563
-965,447
Depreciation & amortization
402,260
247,672
251,459
271,314
354,293
Deferred income taxes
198,738
38,960
-28,348
-69,190
3,980
Stock based compensation
16,061
72,754
17,085
36,801
10,079
Change in working capital
-186,860
-186,860
-260,570
-97,219
229,248
Accounts receivable
-15,214
-324,137
-34,775
42,036
196,175
Inventory
15,193
-
-492
-941
69,500
Accounts Payable
-193,288
-
-
-
-330,717
Other working capital
-25,824
-25,824
-355,187
27,907
45,664
Other non-cash items
22,546
22,546
55,656
58,399
43,007
Net cash provided by operating activites
65,963
65,963
-245,360
134,198
121,485
Cash flows from investing activities
Investments in property, plant and equipment
-91,787
-91,787
-109,827
-106,291
-75,821
Acquisitions, net
-
-
-713
-21,076
-15,043
Purchases of investments
0
0
-39,633
-29,731
-55,834
Sales/Maturities of investments
0
34,325
29,491
2,529
0
Other investing activites
-77,254
-77,254
-14,116
-114,138
-38,425
Net cash used for investing activites
9,480
9,480
-82,470
-263,707
-185,123
Cash flows from financing activities
Debt repayment
-725,896
-725,896
-494,273
-301,241
-1,506,552
Dividends Paid
-14,044
-14,044
-14,044
-14,044
-14,044
Other financing activites
-
-
-3,001
1,711
941
Net cash used privided by (used for) financing activities
-170,915
-170,915
283,118
-192,535
-190,430
Net change in cash
-96,716
-96,716
-40,331
-322,292
-255,734
Cash at beginning of period
570,279
570,279
610,610
932,902
1,188,636
Cash at end of period
473,563
473,563
570,279
610,610
932,902
Free Cash Flow
Operating Cash Flow
65,963
65,963
-245,360
134,198
121,485
Capital Expenditure
-91,787
-91,787
-109,827
-106,291
-75,821
Free Cash Flow
-25,824
-25,824
-355,187
27,907
45,664
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