Canfor Corporation

TSX:CFP.TO

16.4 (CAD) • At close September 19, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) CAD.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 627.41,268.71,354.8419.260.1252.7288.2156.697.5158.389.5028.9260.3133.4362.4295.51,023.8306.340.224.718.48.32516.69318.340.30911.510.218.715.3100.7
Kortetermijnbeleggingen 00000000000000000126044804.523.999056.685.96700000
Liquide middelen en kortetermijnbeleggingen 627.41,268.71,354.8419.260.1252.7288.2156.697.5158.389.5028.9260.3133.4362.4295.51,149.8306.3488.224.722.932.32416.69374.9126.27611.510.218.715.3100.7
Nettovorderingen 512.8477.5514.5432.7413.5267238.5230.7252.9130.1151.9154.9170.8201.1224.6246.7416.3296.7285.2304.2251.5178.6205.334217.874262.5188.1174.3179.4180.1234.1140.3
Voorraad 994.81,180.71,173.8867.5803.9762.5628.9549587.2517.7471.9431.3348.3326.6311.3404.9472635.7600.9635.7445422.2411.5450450.8297.7365.3378.6428.2330.7229.7
Overige vlottende activa 122.7138120.373.813367.151.450.653.296.539.1100.720.451.247.866.33553.439.814.71.446.129.408496.67411.710.94397.8101.823.216.15.3
Totaal vlottende activa 2,257.73,064.93,163.41,793.21,410.51,349.31,207986.9990.8902.6752.4686.9568.4839.2717.11,080.31,218.82,135.61,292.31,516.6768.6669.8678.611731.241799.9623.019648.9670650.2596.2476
Niet-vlottende activa:
Materiële vaste activa, netto 2,552.92,318.21,878.22,055.42,0431,607.21,438.11,460.81,445.11,216.11,151.91,081.71,139.21,6311,676.61,798.51,959.42,254.92,211.12,219.21,443.51,424.21,469.0361,518.4441,384.8610.41,1641,216.71,260.6657.4624.5
Goodwill 493.9498.5477499.5393.3212.4195.4209.1215.581.274.469.771.269.673.385.769.281.60000000000000
Immateriële activa 372.2391.4351475.3499.7560551562.4540.7543.3553.7565.3541.900058.200000000000000
Goodwill en immateriële activa 866.1889.9828974.8893772.4746.4771.5756.2624.5628.1635613.169.673.385.7127.481.60000000000000
Langetermijnbeleggingen 380.333.437.51889.52122.531.532.464.453.823.762.8102.293.7125.7000000000000000
Belastingvorderingen 9.415.47.50.90.95.61.31.21.76.239.718.1000000000000000000
Overige niet-vlottende activa 65431.8261.4259.990.194.368.725.168.937.5100.920.90136.3117.1110.2202.2207.1327.1292.3227.3234231.188190.804162.9630.881140.8148204404352.7
Totaal niet-vlottende activa 3,873.73,674.33,010.53,315.63,116.52,495.82,281.32,290.22,303.81,944.21,940.91,8011,833.21,939.11,960.72,120.12,2892,543.62,538.22,511.51,670.81,658.21,700.2241,709.2481,547.71,241.2811,304.81,364.71,464.61,061.4977.2
Totaal activa 6,131.46,739.26,173.95,108.84,5273,845.13,488.33,277.13,294.62,846.82,693.32,487.92,401.62,778.32,677.83,200.43,507.84,679.23,830.54,028.12,439.42,3282,378.8352,440.4892,347.61,864.31,953.72,034.72,114.81,657.61,453.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 540.5525.7559.8500.2364.2328.8289.1226.8201.1170.6180.4145.60000335579380.3527.8335.5300.6246.458288.079382.6268.9213.8233.8205224.3169.9
Kortlopende schulden 18699.341.150.3416.30.40.3281586874.6211.150.982.534.6193.515.288.699.172.6139.351.488.724372.129299.793.1161.3135.7323.3191.7131.7
Belastingschulden 2.145.225238.95.5060.50015.113.500000000000000000000
Uitgestelde opbrengsten 2.100258.5170.700205.8199.915.113.5143.200001939.600000-372.1290-7.13300000
Overige kortlopende verplichtingen 176.6258.6480.739.416.3183230.441.776.1172.217220.9322.1978.7239.2355.434.4256.156.750.339.644.61.161372.129132.87.13320.923.317.1949.9
Totaal kortlopende verplichtingen 905.2883.61,081.6848.4967.5512.2519.8502.3635.1425.9440.5520.83731,061.2273.8548.9403.6963.3536.1650.7514.4396.6336.343660.208815.1362396392.8545.4510311.5
Langlopende verplichtingen:
Langetermijnschulden 115.1293.1294.7723.4732.6408385.4448456.2228.6153.1100188.10333.3428.7481.6602.8544.5660.5478643.4714.697400.946442.1473731.8799.5661.5264348.6
Uitgestelde opbrengsten niet-vlottend 98.20416.3465.2405.2318.6335359.1363.2323.2270.3392.90000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 330392.9341.2403.1319.9241.8223.4205.5192.3211.9217.1150.8103.30200.8242.4299.5415.4468.3499.2173.7154.5146.952363.858139.196.2104.4126.6127117.5111
Overige niet-vlottende verplichtingen 405.5406.8313532.924.623.723.720.119.614.913.6377.10209.8208.8203.5173.3235250.9184.3179.6220.32364.7949.5507.139.536.930.167.971.1
Totaal niet-vlottende verplichtingen 948.81,092.81,083.21,626.71,490.6993967.51,036.31,031.8783.3655.4657.3668.50743.9879.9984.61,191.51,247.81,410.6836977.51,081.972829.594630.71,076.3875.7963818.6449.4530.7
Totaal passiva 1,8541,976.42,164.82,475.12,458.11,505.21,487.31,538.61,666.91,209.21,095.91,178.11,041.51,061.21,017.71,428.81,388.22,154.81,783.92,061.31,350.41,374.11,418.3151,489.8021,445.81,438.31,271.71,355.81,364959.4842.2
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000023.2
Gewone aandelen 938.3955.1982.2987.9987.9987.91,014.91,047.71,047.71,0681,103.71,126.20000000000000000000
Ingehouden winsten 3,004.23,341.52,586.81,227.3674.3931.1629.5351.7257.7260.1234.2-36.7-24.6316.2246.2316.7692.51,068.5779.5691.9273.4136.7151.943151.376110.58.4215.9264336305.4196.2
Overige gereserveerde algehele resultaten 45.582.645.9119.765.9105.555.188.910027.24.5-10.5-5.9-26.3-1621.5-323-1.6-0.8156.4158.9150.863141.597133.73.82.31.10.91.50.5
Overige totale aandeelhoudersvermogen -169.8-157.7-130.9-127.4-82.831.931.9-4.6-74.531.931.931.91,157.81,157.31,156.61,156.61,156.61,156.21,268.71,275.7659.2658.3657.714657.714657.6413.8413.8413.8413.9391.3391.1
Totaal eigen vermogen van aandeelhouders 3,818.24,221.53,4842,207.51,645.32,056.41,731.41,483.71,330.91,387.21,374.31,110.91,127.31,447.21,386.81,494.81,817.12,227.72,046.61,966.81,089953.9960.52950.687901.8426632678.9750.8698.2611
Totaal eigen vermogen 4,277.44,762.84,009.12,633.72,068.92,339.92,0011,738.51,627.71,637.61,597.41,309.81,360.11,717.11,660.11,771.62,119.62,524.42,046.61,966.81,089953.9960.52950.687901.8426682678.9750.8698.2611
Totaal passiva en aandeelhoudersvermogen 6,131.46,739.26,173.95,108.84,5273,845.13,488.33,277.13,294.62,846.82,693.32,487.92,401.62,778.32,677.83,200.43,507.84,679.23,830.54,028.12,439.42,3282,378.8352,440.4892,347.61,864.31,953.72,034.72,114.81,657.61,453.2