Calfrac Well Services Ltd. Logo

Calfrac Well Services Ltd. (5CFA)

XDUS

Currency in EUR
4.32
+0.04 (+0.93%)

Real-time Data

06:00 AM

Day's Range

4.24
4.32

52 wk Range

1.84
4.50

Financial Statements - 5CFA - Calfrac Well Services Ltd.

Revenue

1.38B 11.5%

Net Income

30.26M 191.5%Net Margin 2.2%

EBITDA

217.71M 16.6%

Free Cash Flow

70.56M 219.7%

Income Statement

Period Ending2025-12-312024-12-312022-12-312021-12-312020-12-312019-12-31
Sales1.38B1.56B1.49B880.24M705.43M1.62B
Cost of Goods1.23B1.45B1.34B915.58M806.57M1.65B
Gross Profit151.24M110.48M154.60M-35.33M-101.14M-38.60M
ExpandOperating Expense
------
Operating Income89.84M45.66M92.40M-78.09M-150.02M-108.48M
ExpandNon-Operating Interest
------
Other Income Expense5.51M-9.40M-21.57M-5.76M85.67M-14.12M
Pre Tax Income65.95M5.05M24.28M-121.60M-155.61M-208.42M
Income Tax24.01M-3.48M-11.02M-26.87M168.62M-52.22M
Net Income30.26M10.38M11.67M-82.81M-324.23M-156.20M
EPS Basic0.340.117610.27-2.21-76.78-54.03
EPS Diluted0.340.117610.19-2.21-76.78-54.03
Basic Shares Outstanding87.99M88.27M63.13M55.62M6.25M4.28M
Diluted Shares Outstanding87.99M88.27M63.13M55.62M6.25M4.28M
Ebit98.44M41.46M70.83M-83.86M-64.34M-122.60M
Ebitda217.71M186.76M214.63M49.82M21.99M152.74M
Net Income Continuous Operations41.93M10.38M11.67M-82.81M-324.23M-156.20M
Minority Interests-----0
Preferred Stock Dividends------

The information on this page is provided for general informational purposes only and is not investment advice.

Market data provided by Twelve Data. Charting by TradingView.

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