Calfrac Well Services Ltd. (T.CFW)

Last Closing Price: --

Cash Flow from Financial Activities (Annual)

Cash Flow from Financial Activities: The net amount of cash transactions used in funding activities.

Calfrac Well Services Ltd. (T.CFW) had Cash Flow from Financial Activities of 32.06M for the most recently reported fiscal year, ending 2024-12-31.

Figures for fiscal year ending 2024-12-31
Income Statement Financials
--
7.57M
--
--
--
33.32M
--
3.68M
13.57M
6.23M
6.23M
7.57M
9.29M
33.32M
132.46M
85.77M
86.10M
0.09
0.09
Balance Sheet Financials
--
--
--
900.97M
--
--
--
424.28M
476.68M
476.68M
476.68M
85.87M
Cash Flow Statement Financials
92.80M
-123.78M
Cash Flow from Financial Activities
32.06M
32.97M
37.05M
4.08M
-0.86M
--
--
Fundamental Metrics & Ratios
1.37
--
--
0.22
0.53
7.05%
2.91%
2.91%
11.58%
0.32%
0.66%
-32.27M
--
--
--
1.27
10.01
6.24
58.47
1.31%
1.31%
0.69%
1.02%
7.61
-0.37
1.08