Western Forest Products Inc.

TSX:WEF.TO

0.46 (CAD) • At close November 7, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operating Activities:
Net Income -70.161.8202.833.4-46.769.274.494.264.668.4125.930.225.129.2-73.3-80.4-57.143.9-139.6-5.47
Depreciation & Amortization 53.750.250.953.545.440.236.333.830.929.629.225.82428.829.533.735.436.728.514.41
Deferred Income Tax -29.34.659.1-18.5-16.525.323.232.27.8-3.4-26.50000000-10.50
Stock Based Compensation -1.2-1.812.32.6-1.31.74.42.22.13.22.91.500000000
Change In Working Capital -3.7-25.6-23.1-14.440-14.85.6-26.3-6.4-7-13.215.7-16.9-22.611414-15.3-42.291.1-5.844
Accounts Receivables 6.7-18.3-41.867.9-5.220.8-32-9.43.40.5-6.60-15.75.900000
Inventory 8.8-12.8-28.8-45.949.6-22.9-2.7-1.3-9.1-6.9-15.916-13.1-23.7121.216.5-26.7-1839.88.86
Accounts Payables -7.1-6.8-2.274.6-89.417.6-7.74.720.600000000000
Other Working Capital -12.1-5-0.4-1.311.98.18.3-252.7-0.12.7-0.3-3.816.8-13.1-2.511.4-24.251.3-14.704
Other Non Cash Items 16.8-99.5-20.423.8-10.4-3.4-9.5-5.92.22.95-1411.5-8.4-10.1-24.8-17.224.436.7-28.147
Operating Cash Flow -33.8-10.3281.680.410.5118.2134.4127.999.187.4110.757.743.72760.1-57.5-54.262.86.2-25.051
Investing Activities:
Investments In Property Plant And Equipment -44.4-46.5-33.1-18.7-37.2-95.1-55.2-56.1-62.1-49.9-59-32-19.4-11.6-8.9-12.5-26.5-37.5-18.3-11.636
Acquisitions Net 2.2-16.119.84.2-30.73.17.10.50.1000000012.5-218.100
Purchases Of Investments 00000000000000000000
Sales Maturities Of Investments 00000000000000000000
Other Investing Activites 3.62.7524.24.73.17.10.50.10.43.316.931.315.3753.914.46443.4-0.321
Investing Cash Flow -38.6-59.938.7-14.5-63.2-92-48.1-55.6-62-49.5-55.7-15.111.93.7-1.941.40.4-191.625.1-11.957
Financing Activities:
Debt Repayment -9.5-7.5-79.6-50.9-5.1-7-35-29-19.2-15.8-45-28-47.1-31.4-10000000
Common Stock Issued 000.1000.40.60.30.8096.5000000295028.375
Common Stock Repurchased 0-20.3-96.90-15.9-25.2-2.7000-100.3000000000
Dividends Paid -11.9-15.3-14.3-8.4-34-34.3-31.7-31.6-31.6-31.4-15.6000000000
Other Financing Activities 80.3-0.9-2.4-5.8101.46.4-0.6-2.10.45.8-0.6-102.8-2.346.414.717.1-154.2-6.70
Financing Cash Flow 58.9-44-193.2-65.146.4-53.1-70-62.7-50.4-41.4-65-38-44.3-33.7-53.614.717.1140.8-6.728.375
Other Information:
Effect Of Forex Changes On Cash 0000000020.9-0.3-3.2-1.1-1.10000000
Net Change In Cash -13.5-114.2127.10.8-6.3-26.916.39.67.6-3.8-13.23.510.2-34.6-1.4-36.71224.6-8.633
Cash At End Of Period 2.315.81302.92.18.435.3199.41.85.618.815.35.18.13.54.941.629.68.007