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CCL Industries (A) (TSE:CCL.A)
TSX:CCL.A
Canadian Market
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CCL Industries (A) (CCL.A) Financial Statements

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CCL Industries (A) Financial Overview

CCL Industries (A)'s market cap is currently ―. The company's EPS TTM is C$3.936; its P/E ratio is 19.82; and it has a dividend yield of 1.42%. CCL Industries (A) is scheduled to report earnings on February 21, 2025, and the estimated EPS forecast is C$1.01. See an overview of income statement, balance sheet, and cash flow financials.
Sep 24Jun 24Mar 24Dec 23Sep 23
Income Statement-
Total RevenueC$ 1.85BC$ 1.85BC$ 1.74BC$ 1.66BC$ 1.69B
Gross ProfitC$ 551.30MC$ 551.50MC$ 515.20MC$ 484.00MC$ 489.10M
EBITC$ 275.90MC$ 363.20MC$ 274.10MC$ 129.60MC$ 246.80M
EBITDAC$ 384.70MC$ 469.20MC$ 380.00MC$ 235.40MC$ 349.10M
Net Income Common StockholdersC$ 191.70MC$ 279.50MC$ 192.10MC$ 38.80MC$ 169.10M
Balance Sheet-
Cash, Cash Equivalents and Short-Term InvestmentsC$ 759.60MC$ 665.90MC$ 747.70MC$ 765.10MC$ 773.10M
Total AssetsC$ 9.75BC$ 9.57BC$ 9.25BC$ 8.92BC$ 9.14B
Total DebtC$ 2.44BC$ 2.43BC$ 2.36BC$ 2.28BC$ 2.53B
Net DebtC$ 1.68BC$ 1.76BC$ 1.61BC$ 1.52BC$ 1.76B
Total LiabilitiesC$ 4.63BC$ 4.53BC$ 4.41BC$ 4.30BC$ 4.50B
Stockholders EquityC$ 5.12BC$ 5.05BC$ 4.84BC$ 4.62BC$ 4.64B
Cash Flow-
Free Cash FlowC$ 233.00MC$ 118.80MC$ -7.00MC$ 273.80MC$ 182.20M
Operating Cash FlowC$ 337.70MC$ 244.60MC$ 171.20MC$ 355.80MC$ 292.40M
Investing Cash FlowC$ -104.70MC$ -268.70MC$ -178.20MC$ -82.60MC$ -368.30M
Financing Cash FlowC$ -145.20MC$ -52.90MC$ -22.20MC$ -273.00MC$ 110.60M
Currency in CAD

CCL Industries (A) Earnings and Revenue History

CCL Industries (A) Debt to Assets

CCL Industries (A) Cash Flow

CCL Industries (A) Forecast EPS vs Actual EPS

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