Hammond Manufacturing Company Limited

TSX:HMM-A.TO

9.39 (CAD) • At close October 23, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) CAD.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Operating Activities:
Net Income 18.76112.0037.7027.7244.7493.7644.560.6843.553.6372.2581.6621.7712.032-0.0444.8890.1721.174-0.430.201-0.0341.0960.2621.0273.33.63.63.5
Depreciation & Amortization 8.4497.5626.796.3766.073.3423.0113.3642.1762.1492.3042.0082.132.3522.3882.6942.7982.8172.8432.6122.4032.2762.3283.7213.33.22.62.6
Deferred Income Tax 6.2384.0322.4592.5751.5331.2881.8270.541.5081.3370.8120.94100.575-0.1351.0150.1310.004-0.6860.0170.0560.3010.235-1.6800.2-0.20
Stock Based Compensation 0000000000000000000000000000
Change In Working Capital -10.386-17.522-0.269-1.41-1.562-5.241-1.964-7.2882.346-0.799-0.985-2.148-2.305-1.331-1.01-3.576-0.694-1.103-1.887-1.3730.720.43-1.489-3.7725.9000
Accounts Receivables -1.159-2.114-6.602-1.523-0.436-2.181-1.0680.305-0.513-2.3180.0320-1.087000000000000000
Inventory -4.426-17.974-3.613-0.604-1.395-5.232-1.899-2.887-2.369-0.34-1.163-2.443-2.339000000000000000
Accounts Payables 1.1592.1146.6021.5230.43600000001.14000000000000000
Other Working Capital -5.960.4523.344-0.806-0.167-0.009-0.065-4.4014.715-0.4590.1780.295-0.019000-0.694-1.103-1.887-1.3730.720.43-1.489-3.7725.9000
Other Non Cash Items 3.052-1.2511.4811.6231.751.41410.8640.3450.3370.4220.4370.148-0.04-0.083-2.162-1.248-0.295-0.0190.4030.195-0.26-0.087-0.013-0.6-11.3-2.94.9
Operating Cash Flow 16.8954.82414.92315.68911.7071.3547.244-3.376.685.5313.5962.221.7443.5591.242.861.1592.588-0.1791.863.343.8431.249-0.71711.9-4.33.111
Investing Activities:
Investments In Property Plant And Equipment -13.764-20.218-11.565-5.571-2.949-10.658-3.534-4.071-17.126-2.018-1.335-2.902-4.933-2.24-2.423-1.591-1.12-1.471-2.485-2.682-2.351-1.294-1.698-6.042-6.4-7.4-3.7-3.7
Acquisitions Net 0.140000000000-0.0230006.033000000000000
Purchases Of Investments 000000000000000-0.1010.2400000000000
Sales Maturities Of Investments 0000000000000000000000000000
Other Investing Activites 0.140.060.0210.0440.1090.0440.094-0.041-0.046-0.0830.0150.0590.6920.017000.1050.0570.0080.1850.2360.1130.1060.1450.800.20.7
Investing Cash Flow -13.624-20.158-11.544-5.527-2.84-10.614-3.44-4.071-17.126-2.018-1.32-2.866-4.241-2.223-2.4234.341-0.775-1.414-2.477-2.497-2.115-1.181-1.592-5.897-5.6-7.4-3.5-3
Financing Activities:
Debt Repayment -6.11-6.026-7.166-5.391-4.66-1.336-1.326-0.85-0.121-0.685-0.622-1.368-1.846-1.556-2.047-7.605000000000000
Common Stock Issued 00000000000000000.0160.0070.00500.01200.00600000
Common Stock Repurchased 00000000000000000000000-0.151-0.1-0.10-0.3
Dividends Paid -0.68-0.68-0.453-0.453-0.454-0.452-0.226-0.226-0.226-0.227-0.226-0.226-0.226-0.227000000-0.22600-0.4510000
Other Financing Activities 11.98517.7975.66-1.704-2.8569.639-0.6778.6429.809-3.389-1.0422.0284.77500.6531.3470.189-1.1020.834-0.254-1.348-0.31812.921-2.023-0.91.1-2.7-1.1
Financing Cash Flow 5.19511.091-1.959-7.548-7.977.851-2.2297.5669.462-4.301-1.890.4342.703-1.783-1.394-6.2580.205-1.0950.839-0.254-1.562-0.31812.927-2.625-11-2.7-1.4
Other Information:
Effect Of Forex Changes On Cash -0.5181.116-0.136-0.548-0.8030.983-1.1380.2260.9210.34-0.028-0.0050.005000000000000-0.10-0.1
Net Change In Cash 7.948-3.1271.2842.0660.094-0.4260.4370.351-0.063-0.4480.358-0.2170.211-0.447-2.5770.9430.5890.079-1.817-0.891-0.3372.34412.584-9.2395.3-10.8-3.16.5
Cash At End Of Period 8.890.9424.0692.7850.7190.6251.0510.6140.2630.3260.7740.4160.6330.4220.8693.4462.5031.914-9.796-7.979-7.088-6.751-9.095-21.679-12.4-17.7-6.9-3.8