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Mattr Stock Quote

Mattr (TSX: MATR)

$11.25
(3.9%)
+0.42
Price as of October 23, 2025, 3:13 p.m. ET

KEY DATA POINTS

Current Price
CA$11.25
Daily Change
(3.9%) +$0.42
Day's Range
CA$10.82 - CA$11.26
Previous Close
CA$10.83
Open
CA$10.82
Beta
1.43
Volume
114,270
Average Volume
264,509
Sector
Market Cap
664.6M
Market Cap / Employee
$10.83M
52wk Range
CA$8.47 - CA$16.57
Revenue
-
Gross Margin
0.20%
Dividend Yield
N/A
EPS
CA$0.72
CAPs Rating
-
Industry
Energy Equipment and Services

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Mattr Return vs. S&P

1 Year5 Year5 Year AnnualizedSince IPO
MATR-10.79%+377.09%+36.68%+1,146%
S&P+14.5%+93.32%+14.09%+2,325%

Mattr Company Info

Mattr Corp. engages in the provision of products and services for the pipeline and pipe services segment. It operates through the following segments: Pipeline and Pipe Services; Composite Systems; and Automotive and Industrial. The Pipeline and Pipe Services segment focuses on the products and services for the Pipeline Performance Group, Pipeline Performance Products, Shaw Pipeline Services, Shawcor Inspection Services and Lake Superior Consulting operating units. The Composite Systems segment consist of the Composite Production Systems and Oilfield Asset Management. The Automotive and Industrial segment deals with Connection Systems, DSG-Canusa, and ShawFlex. The company was founded on August 23, 1968 and is headquartered in Toronto, Canada.

Financial Health

General

Q2 2025YOY Change
Revenue$320.96M26.4%
Gross Profit$66.08M-6.7%
Gross Margin20.59%-7.3%
Market Cap$740.41M-33.3%
Market Cap / Employee$0.38M0.0%
Employees2K7.2%
Net Income-$3.72M-130.6%
EBITDA$35.83M-14.4%

Currently no data to display

Revenue Growth Rate

Currently no data to display.

Earnings Per Share Growth Rate

Currently no data to display.

Assets

Q2 2025YOY Change
Net Cash$52.87M-79.2%
Accounts Receivable$200.78M-4.0%
Inventory208.453.0%

Liabilities

Q2 2025YOY Change
Long Term Debt$579.70M80.2%
Short Term Debt$7.50M-29.3%

Ratios

Q2 2025YOY Change
Return On Assets1.98%-0.1%
Return On Invested Capital-2.74%0.1%

Cash Flow

Q2 2025YOY Change
Free Cash Flow$12.75M129.5%
Operating Free Cash Flow$24.06M264.4%

Valuation

MetricQ1 2024Q2 2024Q1 2025Q2 2025YoY Change
Price to Earnings22.5126.4111.8616.7036.26%
Price to Book1.281.140.900.96-35.84%
Price to Sales1.030.870.640.69-43.40%
Price to Tangible Book Value2.191.951.555.65119.45%
Price to Free Cash Flow TTM20.8014.2817.35-
Enterprise Value to EBITDA35.3084.2630.7735.6524.76%
Free Cash Flow Yield4.8%7.0%5.8%-
Return on Equity2.6%-0.4%6.0%4.0%-10.30%
Total Debt$331.95M$634.37M$615.50M$587.19M76.68%

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