North American Constructi...

NYSE: NOA · Real-Time Price · USD
12.38
-0.52 (-4.03%)
At close: Aug 15, 2025, 12:36 PM

North American Construction Cash Flow Statement

Financials in CAD. Fiscal year is January - December.
Fiscal Year Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Net Income
38.88M 44.09M 56.92M 54.41M 52.66M 63.14M 71.58M 80.41M 75.66M 67.37M 56.6M 50.35M 45.58M 51.41M 46.15M 39M 49.56M
Depreciation & Amortization
183.46M 166.68M 163.91M 154.15M 138.88M 131.32M 125.19M 122.97M 124.96M 119.27M 112.46M 107.51M 107.59M 108.1M 105.38M 103.06M 88.28M
Stock-Based Compensation
1.69M 8.71M 10.4M 14.18M 20.84M 23.17M 20.76M 16.09M 9.44M 4.78M 1.51M 1.01M 10.51M 11.61M 14.8M 16.62M 11.18M
Other Working Capital
12.91M 13.8M -6.53M 3.34M 5.52M 7.72M -2.25M -6.52M -7.15M -9.75M -4.7M 1.85M -4.7M 11.35M 1.84M -10.2M -3.62M
Other Non-Cash Items
120.68M 268.33M 309.74M 284.36M 176.33M 13.09M -33.56M -41.4M -25.8M -24.36M -18.71M -12.84M -20.66M -14M -8.06M -7.31M -3.22M
Deferred Income Tax
21.53M 19.23M 18.61M 14.32M 8.89M 15.98M 15.15M 19.2M 19.23M 15.45M 11.04M 8.58M 6.82M 8.29M 7.03M 8.71M 10.24M
Change in Working Capital
-27.03M -64.54M -27.4M 97K 23.04M 51.05M -11.5M -15.72M -26.65M -13.31M -5.91M 3.13M -1.84M 352K -2.7M -27.99M -15.76M
Operating Cash Flow
257.11M 217.56M 274.1M 263.43M 244.65M 264.61M 187.62M 181.54M 176.84M 169.2M 157M 157.75M 148M 165.75M 162.6M 132.1M 140.28M
Capital Expenditures
-310.51M -284.34M -296.88M -272.21M -234.62M -203.49M -142.75M -135.18M -124.92M -115.26M -113.27M -110.16M -113.52M -116.19M -117.05M -111.65M -105.7M
Cash Acquisitions
-3.37M -2.27M -44.47M -42.7M -41.35M -42.84M 1.18M -265K -580K -356K 1.69M -10.03M -3.33M -2.09M -1.82M 9.41M 885K
Purchase of Investments
-672K -672K -229K 4.87M 2.88M -2.73M 1.69M -6.9M -5.13M n/a -4.86M -3.34M -2.45M -1.96M -1.96M n/a n/a
Sales Maturities Of Investments
-5.77M n/a -2.4M n/a 6.59M 6.43M 20.73M 21.82M 22.22M 16.6M 5.27M 3.62M 3.27M 9.48M 8.9M 7.07M 6.21M
Other Investing Acitivies
-1.09M 3.63M 1.76M 3.34M 8.97M 923K -5.5M -5.2M -1.31M 2.92M 8.86M 13.75M 19.38M 21.04M 20.47M 13.53M 6.31M
Investing Cash Flow
-311.73M -274.68M -336.68M -303.42M -260.69M -244.88M -124.65M -125.72M -111.58M -97.47M -104.25M -107.97M -104.85M -99.47M -100.63M -90.94M -93.37M
Debt Repayment
112.96M 104.13M 140.53M 133.29M 108.16M 24.43M -28.67M -18.38M -25.7M 24.76M -1.84M -24.58M -39.41M -63.3M -56.15M -37.86M -25.75M
Common Stock Repurchased
-9.31M -6.78M -2.48M -5.96M -5.99M -5.99M -5.99M -17.95M -35.34M -36.16M -36.11M -23.82M -6.87M -22.02M -22.03M -19.54M -23.32M
Dividend Paid
-10.99M -10.64M -10.63M -10.66M -10.61M -10.03M -9.49M -9.08M -8.73M -7.77M -6.79M -5.67M -4.52M -4.42M -4.44M -4.48M -4.38M
Other Financial Acitivies
-41.54M -40.68M -37.07M -37.06M -16.15M -16.15M -18K -318K -318K -318K -246K 20K -3.13M -3.02M -3.8M -3.76M -327K
Financial Cash Flow
51.12M 46.03M 96.13M 85.4M 81.2M -1.97M -44.16M -45.72M -70.1M -19.49M -44.99M -54.06M -53.94M -92.79M -86.46M -65.69M -53.8M
Net Cash Flow
-1.85M -10.74M 37.23M 46.59M 64.44M 19.47M 17.25M 10.03M -4.46M 52.54M 8.17M -4.26M -10.79M -26.5M -24.49M -24.54M -6.9M
Free Cash Flow
-53.4M -66.78M -22.78M -8.78M 10.03M 61.12M 44.87M 46.36M 51.92M 53.94M 43.73M 47.59M 34.48M 49.57M 45.55M 20.45M 34.57M