C$27.87
C$-0.21 (-0.75%)
End-of-day quote: 05/15/2024
TSX:NOA

North American Construction Group Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007
Rev. Revenue
C$957.22M C$769.54M C$654.14M C$498.47M C$719.07M C$410.06M C$292.56M C$213.18M C$281.28M C$471.78M C$470.48M C$595.42M C$0.00M C$0.00M C$0.00M C$0.00M C$0.00M
GM % Gross Margin %
29.83% 28.69% 28.43% 31.26% 27.53% 31.07% 28.84% 34.31% 25.57% 19.99% 17.48% 11.65% 0.00% 0.00% 0.00% 0.00% 0.00%
OM Operating Margin
10.17% 9.33% 6.42% 7.97% 8.18% 7.27% 5.14% 2.34% 1.77% 4.24% 1.27% -1.55% 0.00% 0.00% 0.00% 0.00% 0.00%
EPS Earnings Per Share
C$0.00 C$2.83 C$2.41 C$2.06 C$1.73 C$1.72 C$0.54 C$0.18 C$-0.01 C$-0.19 C$-0.02 C$-0.50 C$-0.29 C$-0.86 C$0.57 C$0.39 C$1.63 C$0.88
Div. Dividends
C$0.40 C$0.32 C$0.16 C$0.16 C$0.12 C$0.08 C$0.08 C$0.00 C$0.00 C$0.00 C$0.00 C$0.00 C$0.00 C$0.00 C$0.00 C$0.00 C$0.00
PR % Payout Ratio %
14.13% 13.28% 7.77% 9.25% 6.98% 14.81% 44.44% 0 0 0 0 -0.00% -0.00% 0.00% 0.00% 0.00% 0.00%
Sha. Shares
26.74m 26.42m 28.46m 29.17m 25.78m 25m 25.45m 28.31m 31.89m 34.33m 34.75m 36.25m 36.25m 36.17m 36.04m 36.04m 35.75m
OCF Operating Cash Flow
C$270.39M C$169.20M C$165.18M C$146.55M C$157.94M C$109.37M C$49.75M C$39.83M C$77.10M C$41.23M C$103.23M C$85.28M C$0.00M C$0.00M C$0.00M C$0.00M C$0.00M
FCF Free Cash Flow
C$-40.77M C$70.01M C$65.91M C$32.89M C$5.38M C$59.28M C$16.72M C$12.76M C$44.61M C$6.08M C$71.88M C$-37.94M C$-36.91M C$0.00M C$0.00M C$0.00M C$0.00M
FCFS Free Cash Flow Per Share
C$2.52 C$1.97 C$1.81 C$1.04 C$0.02 C$-4.93 C$-0.15 C$0.42 C$1.34 C$0.15 C$1.90 C$0.74 C$0.00 C$0.00 C$0.00 C$0.00 C$0.00