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NOA North American Construction Group Ltd

29.06
-0.30 (-1.02%)
Last Updated: 13:08:48
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Year End December 30 2023 20162017201820192020202120222023
CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)
Total Assets 350.08M383.64M689.8M792.65M839.06M869.28M979.51M1.55B
Total Current Assets 74.95M89.28M130.38M117.38M119.28M147.18M230.36M295.2M
Cash and Equivalents 13.67M8.19M19.51M5.54M43.45M16.6M69.14M88.61M
Total Non-Current Assets 158.95M145.92M150.22M180.12M248.44M278.46M305.92M356.65M
Total Liabilities 191.13M237.72M539.59M612.53M590.62M590.82M673.59M1.19B
Total Current Liabilities 74.03M79.03M148.9M157.3M109.48M161.03M192.3M324.02M
Total Non-Current Liabilities 185.7M266.59M710.97M833.46M865.11M765.5M859.74M1.48B
Total Equity 158.95M145.92M150.22M180.12M248.44M278.46M305.92M356.65M
Common Equity 252.63M231.02M221.77M225.97M255.06M246.94M229.46M229.46M
Retained Earnings -130.3M-127.16M-113.92M-79.86M-35.16M11.86M70.5M123.03M