Calfrac Well Services Ltd. (T.CFW)

Last Closing Price: --

Cash Flow from Financial Activities (Quarterly)

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 63.42M for the most recently reported fiscal quarter, ending 2024-09-30.

Figures for fiscal quarter ending 2024-09-30
Income Statement Financials
--
-3.98M
--
--
--
18.16M
--
2.50M
7.06M
-4.90M
-4.90M
-3.98M
13.13M
18.16M
43.69M
85.79M
86.08M
-0.04
-0.04
Balance Sheet Financials
--
--
--
950.88M
--
--
--
479.07M
471.81M
471.81M
471.81M
85.80M
Cash Flow Statement Financials
31.30M
-98.99M
Cash Flow from Financial Activities
63.42M
33.12M
23.37M
-9.75M
4.09M
--
--
Fundamental Metrics & Ratios
2.23
--
--
0.36
0.58
10.27%
5.76%
5.76%
--
0.79%
-1.26%
-68.46M
--
--
--
0.33
2.53
1.27
70.88
-1.04%
-1.04%
-0.52%
-0.66%
7.50
-0.80
0.36