
Canfor Pulp Products
(OTC) CFPUF
Canfor Pulp Products Financials at a Glance
Market Cap
N/A
Revenue (TTM)
$678.79M
Net Income (TTM)
$146.59M
EPS (TTM)
N/A
P/E Ratio
N/A
Dividend
N/A
Beta (Volatility)
N/A
Dividend
N/A
Beta (Volatility)
N/A
Price
N/A
Volume
N/A
Open
N/A
Price
N/A
Volume
N/A
Open
N/A
Previous Close
N/A
Daily Range
N/A
52-Week Range
N/A
Dividend
N/A
Beta (Volatility)
N/A
Price
N/A
Volume
N/A
Open
N/A
Previous Close
N/A
Daily Range
N/A
52-Week Range
N/A
CFPUF News
CFPUF: Motley Fool Moneyball Superscore
Our CEO Is Handing Members His Secret Weapon
It's called Motley Fool Moneyball, our new proprietary AI tool
We spent over half a million dollars in R&D to build a tool that makes stock research faster, sharper, and smarter. Our analysts use it every day, and now, you can too.
Get Access NowAbout Canfor Pulp Products
Industry
Paper and Forest Products
Sector
MaterialsEmployees
763
CEO
Stephen Mackie
Website
www.canfor.comHeadquarters
Vancouver, BC V6P 6G2, CA
CFPUF Financials
Key Financial Metrics (TTM)
Gross Margin
10%
Operating Margin
-6%
Net Income Margin
-22%
Return on Equity
-1%
Return on Capital
-53%
Return on Assets
-44%
Earnings Yield
N/A
Dividend Yield
0.00%
Payout Ratio
0.00%
Stock Overview
Market Cap
N/A
Shares Outstanding
N/A
Volume
N/A
Short Interest
N/A
Avg. Volume
N/A
Financials (TTM)
Gross Profit
$22.58M
Operating Income
$42.07M
EBITDA
$2.50M
Operating Cash Flow
$9.19M
Capital Expenditure
$30.28M
Free Cash Flow
$21.08M
Cash & ST Invst.
$14.89M
Total Debt
$120.30M
Canfor Pulp Products Performance Analysis
Revenue Growth Rate
Annual and quarterly growth comparisonEarnings Per Share Growth Rate
Annual and quarterly EPS growth comparisonQuarterly Performance
Revenue
$140.09M
-14.1%
Gross Profit
$25.68M
-171.3%
Gross Margin
-18.33%
N/A
Market Cap
N/A
N/A
Market Cap/Employee
N/A
N/A
Employees
799
N/A
Net Income
$133.49M
-4703.1%
EBITDA
$20.08M
-233.0%
Quarterly Fundamentals
Net Cash
$105.41M
-24.6%
Accounts Receivable
$25.68M
-31.9%
Inventory
$139.09M
-10.6%
Long Term Debt
$899.27K
-25.1%
Short Term Debt
$119.40M
+21.0%
Return on Assets
-43.91%
N/A
Return on Invested Capital
-52.76%
N/A
Free Cash Flow
$14.69M
-19.4%
Operating Cash Flow
$2.10M
+66.2%