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CFW Calfrac Well Services Ltd

4.06
-0.02 (-0.49%)
Jun 04 2024 - Closed
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 1.61B1.78B1.78B1.53B912.46M892.96M995.75M1.13B
Total Current Assets 388.93M576.34M569.56M405.93M271.19M307.53M414.37M458.02M
Cash and Equivalents 109.92M52.75M51.9M42.56M29.83M08.5M34.14M
Total Non-Current Assets 497.46M543.65M513.82M368.62M410.23M328.84M422.97M615.9M
Total Liabilities 1.12B1.23B1.27B1.16B502.23M564.12M572.78M510.29M
Total Current Liabilities 117.35M249.29M239.69M157.15M109.74M136.8M203.7M208.4M
Total Non-Current Liabilities 1.98B1.94B2.02B1.99B731.13M828.36M711.71M552.67M
Total Equity 497.46M543.65M513.82M368.62M410.23M328.84M422.97M615.9M
Common Equity 466.45M501.46M508.28M509.24M840.98M841.46M901.83M910.91M
Retained Earnings 15.33M21.27M-28.97M-185.17M-509.41M-592.22M-580.54M-389.87M

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