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WFG West Fraser Timber Co.Ltd

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  • 103.290
  • +0.470+0.46%
15min DelayMarket Closed May 2 16:00 ET
8.19BMarket Cap-2402.09P/E (TTM)

West Fraser Timber Co.Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 28, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 27, 2024
(Q2)Jun 28, 2024
(Q1)Mar 29, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 29, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-80.49%-74M
26.53%663M
82.29%175M
-57.46%151M
39.48%378M
79.29%-41M
-76.26%524M
-34.69%96M
-18.01%355M
-74.53%271M
Net income from continuing operations
20.00%42M
97.01%-5M
59.48%-62M
-152.20%-83M
180.15%105M
183.33%35M
-108.46%-167M
-64.52%-153M
-26.39%159M
-117.19%-131M
Operating gains losses
-4.55%21M
9.86%78M
-68.09%15M
115.38%28M
55.56%14M
340.00%22M
-5.33%71M
88.00%47M
-13.33%13M
28.57%9M
Depreciation and amortization
-2.90%134M
1.85%550M
2.22%138M
3.03%136M
2.22%138M
0.00%138M
-8.32%540M
-8.78%135M
-5.71%132M
-6.25%135M
Asset impairment expenditure
--0
-62.56%73M
-22.64%41M
38.46%18M
-96.12%5M
---2M
282.35%195M
39.47%53M
--13M
--129M
Deferred tax
66.67%25M
150.00%53M
114.81%8M
-266.67%-5M
200.00%34M
171.43%15M
-120.42%-106M
-260.00%-54M
0.00%3M
-116.19%-34M
Other non cashItems
16.67%7M
-1,620.00%-76M
-93.55%6M
29.63%-38M
-11.11%-40M
--6M
106.67%5M
9,200.00%93M
-31.71%-54M
-38.46%-36M
Change In working capital
8.73%-230M
-236.36%-15M
1,650.00%35M
11.11%80M
-41.90%122M
7.69%-252M
-80.00%11M
-97.14%2M
-65.88%72M
-40.85%210M
-Change in receivables
-6.38%-100M
-16.67%5M
11.11%60M
800.00%35M
-95.38%3M
12.15%-94M
-95.71%6M
-63.76%54M
-108.93%-5M
-70.72%65M
-Change in inventory
-30.41%-193M
-91.67%11M
-73.33%-52M
14.63%47M
-26.99%165M
-40.95%-148M
560.00%132M
-1,600.00%-30M
-25.45%41M
-14.07%226M
-Change in prepaid assets
-20.00%4M
0.00%4M
-7.69%24M
-150.00%-1M
20.00%-24M
-16.67%5M
166.67%4M
52.94%26M
-87.50%2M
28.57%-30M
-Change in payables and accrued expense
493.33%59M
73.28%-35M
106.25%3M
-102.94%-1M
56.86%-22M
77.61%-15M
-32.32%-131M
51.02%-48M
-59.52%34M
42.05%-51M
Tax refund paid
-2,366.67%-74M
112.50%3M
70.37%-8M
-17.65%14M
--0
40.00%-3M
97.56%-24M
0.00%-27M
115.32%17M
97.42%-10M
Cash from discontinued investing activities
Operating cash flow
-82.93%-75M
25.90%661M
80.21%173M
-57.75%150M
38.97%378M
79.29%-41M
-76.21%525M
-34.69%96M
-18.01%355M
-74.44%272M
Investing cash flow
Cash flow from continuing investing activities
6.60%-99M
40.00%-318M
40.33%-145M
7.77%-95M
129.47%28M
-19.10%-106M
-15.47%-530M
-74.82%-243M
27.46%-103M
-10.47%-95M
Net PPE purchase and sale
14.75%-104M
-2.10%-487M
0.64%-156M
6.96%-107M
3.77%-102M
-23.23%-122M
0.00%-477M
-5.37%-157M
21.77%-115M
-20.45%-106M
Net business purchase and sale
--0
224.00%124M
--0
--0
--119M
--5M
---100M
---100M
--0
--0
Interest received (cash flow from investment activities)
-45.45%6M
-8.51%43M
-21.43%11M
0.00%12M
0.00%11M
10.00%11M
176.47%47M
55.56%14M
140.00%12M
450.00%11M
Net other investing changes
---1M
--2M
--1M
----
----
----
----
----
---1M
----
Cash from discontinued investing activities
Investing cash flow
6.60%-99M
40.00%-318M
40.50%-144M
8.65%-95M
129.47%28M
-19.10%-106M
-15.47%-530M
-74.10%-242M
26.76%-104M
-10.47%-95M
Financing cash flow
Cash flow from continuing financing activities
-118.92%-81M
-117.16%-582M
-117.96%-364M
-125.81%-70M
-179.49%-109M
-15.63%-37M
87.39%-268M
5.11%-167M
85.78%-31M
97.43%-39M
Net issuance payments of debt
0.00%-4M
-2,000.00%-315M
-7,525.00%-305M
-33.33%-4M
40.00%-3M
0.00%-4M
-7.14%-15M
---4M
25.00%-3M
0.00%-5M
Net common stock issuance
-666.67%-46M
-7.75%-139M
82.17%-23M
---38M
---71M
---6M
93.52%-129M
8.51%-129M
--0
--0
Cash dividends paid
-8.33%-26M
-1.00%-101M
-4.00%-26M
-4.00%-26M
4.00%-24M
4.00%-24M
-1.01%-100M
0.00%-25M
7.41%-25M
3.85%-25M
Interest paid (cash flow from financing activities)
-66.67%-5M
-12.50%-27M
-11.11%-10M
33.33%-2M
-22.22%-11M
0.00%-3M
-4.35%-24M
10.00%-9M
-50.00%-3M
0.00%-9M
Net other financing activities
200.00%1M
----
----
----
---1M
---1M
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-110.53%-80M
-117.16%-582M
-118.56%-365M
-125.81%-70M
-182.05%-110M
-18.75%-38M
87.39%-268M
5.11%-167M
85.78%-31M
97.43%-39M
Net cash flow
Beginning cash position
-28.78%641M
-22.55%900M
-17.19%997M
1.01%1B
-16.06%711M
-22.55%900M
-25.89%1.16B
-8.99%1.2B
-22.40%994M
-53.36%847M
Current changes in cash
-37.30%-254M
12.50%-238M
-7.37%-335M
-106.82%-15M
114.49%296M
41.82%-185M
28.04%-272M
-85.71%-312M
201.37%220M
125.70%138M
Effect of exchange rate changes
175.00%3M
-310.00%-21M
-362.50%-21M
180.00%8M
-133.33%-3M
-233.33%-4M
135.71%10M
14.29%8M
67.74%-10M
350.00%9M
End cash Position
-45.15%390M
-28.78%641M
-28.78%641M
-17.19%997M
1.01%1B
-16.06%711M
-22.55%900M
-22.55%900M
-8.99%1.2B
-22.40%994M
Free cash from
-9.82%-179M
262.50%174M
127.87%17M
-82.08%43M
66.27%276M
45.12%-163M
-97.23%48M
-2,950.00%-61M
-16.08%240M
-82.99%166M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
--
(Q1)Mar 28, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 27, 2024(Q2)Jun 28, 2024(Q1)Mar 29, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 29, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -80.49%-74M26.53%663M82.29%175M-57.46%151M39.48%378M79.29%-41M-76.26%524M-34.69%96M-18.01%355M-74.53%271M
Net income from continuing operations 20.00%42M97.01%-5M59.48%-62M-152.20%-83M180.15%105M183.33%35M-108.46%-167M-64.52%-153M-26.39%159M-117.19%-131M
Operating gains losses -4.55%21M9.86%78M-68.09%15M115.38%28M55.56%14M340.00%22M-5.33%71M88.00%47M-13.33%13M28.57%9M
Depreciation and amortization -2.90%134M1.85%550M2.22%138M3.03%136M2.22%138M0.00%138M-8.32%540M-8.78%135M-5.71%132M-6.25%135M
Asset impairment expenditure --0-62.56%73M-22.64%41M38.46%18M-96.12%5M---2M282.35%195M39.47%53M--13M--129M
Deferred tax 66.67%25M150.00%53M114.81%8M-266.67%-5M200.00%34M171.43%15M-120.42%-106M-260.00%-54M0.00%3M-116.19%-34M
Other non cashItems 16.67%7M-1,620.00%-76M-93.55%6M29.63%-38M-11.11%-40M--6M106.67%5M9,200.00%93M-31.71%-54M-38.46%-36M
Change In working capital 8.73%-230M-236.36%-15M1,650.00%35M11.11%80M-41.90%122M7.69%-252M-80.00%11M-97.14%2M-65.88%72M-40.85%210M
-Change in receivables -6.38%-100M-16.67%5M11.11%60M800.00%35M-95.38%3M12.15%-94M-95.71%6M-63.76%54M-108.93%-5M-70.72%65M
-Change in inventory -30.41%-193M-91.67%11M-73.33%-52M14.63%47M-26.99%165M-40.95%-148M560.00%132M-1,600.00%-30M-25.45%41M-14.07%226M
-Change in prepaid assets -20.00%4M0.00%4M-7.69%24M-150.00%-1M20.00%-24M-16.67%5M166.67%4M52.94%26M-87.50%2M28.57%-30M
-Change in payables and accrued expense 493.33%59M73.28%-35M106.25%3M-102.94%-1M56.86%-22M77.61%-15M-32.32%-131M51.02%-48M-59.52%34M42.05%-51M
Tax refund paid -2,366.67%-74M112.50%3M70.37%-8M-17.65%14M--040.00%-3M97.56%-24M0.00%-27M115.32%17M97.42%-10M
Cash from discontinued investing activities
Operating cash flow -82.93%-75M25.90%661M80.21%173M-57.75%150M38.97%378M79.29%-41M-76.21%525M-34.69%96M-18.01%355M-74.44%272M
Investing cash flow
Cash flow from continuing investing activities 6.60%-99M40.00%-318M40.33%-145M7.77%-95M129.47%28M-19.10%-106M-15.47%-530M-74.82%-243M27.46%-103M-10.47%-95M
Net PPE purchase and sale 14.75%-104M-2.10%-487M0.64%-156M6.96%-107M3.77%-102M-23.23%-122M0.00%-477M-5.37%-157M21.77%-115M-20.45%-106M
Net business purchase and sale --0224.00%124M--0--0--119M--5M---100M---100M--0--0
Interest received (cash flow from investment activities) -45.45%6M-8.51%43M-21.43%11M0.00%12M0.00%11M10.00%11M176.47%47M55.56%14M140.00%12M450.00%11M
Net other investing changes ---1M--2M--1M-----------------------1M----
Cash from discontinued investing activities
Investing cash flow 6.60%-99M40.00%-318M40.50%-144M8.65%-95M129.47%28M-19.10%-106M-15.47%-530M-74.10%-242M26.76%-104M-10.47%-95M
Financing cash flow
Cash flow from continuing financing activities -118.92%-81M-117.16%-582M-117.96%-364M-125.81%-70M-179.49%-109M-15.63%-37M87.39%-268M5.11%-167M85.78%-31M97.43%-39M
Net issuance payments of debt 0.00%-4M-2,000.00%-315M-7,525.00%-305M-33.33%-4M40.00%-3M0.00%-4M-7.14%-15M---4M25.00%-3M0.00%-5M
Net common stock issuance -666.67%-46M-7.75%-139M82.17%-23M---38M---71M---6M93.52%-129M8.51%-129M--0--0
Cash dividends paid -8.33%-26M-1.00%-101M-4.00%-26M-4.00%-26M4.00%-24M4.00%-24M-1.01%-100M0.00%-25M7.41%-25M3.85%-25M
Interest paid (cash flow from financing activities) -66.67%-5M-12.50%-27M-11.11%-10M33.33%-2M-22.22%-11M0.00%-3M-4.35%-24M10.00%-9M-50.00%-3M0.00%-9M
Net other financing activities 200.00%1M---------------1M---1M----------------
Cash from discontinued financing activities
Financing cash flow -110.53%-80M-117.16%-582M-118.56%-365M-125.81%-70M-182.05%-110M-18.75%-38M87.39%-268M5.11%-167M85.78%-31M97.43%-39M
Net cash flow
Beginning cash position -28.78%641M-22.55%900M-17.19%997M1.01%1B-16.06%711M-22.55%900M-25.89%1.16B-8.99%1.2B-22.40%994M-53.36%847M
Current changes in cash -37.30%-254M12.50%-238M-7.37%-335M-106.82%-15M114.49%296M41.82%-185M28.04%-272M-85.71%-312M201.37%220M125.70%138M
Effect of exchange rate changes 175.00%3M-310.00%-21M-362.50%-21M180.00%8M-133.33%-3M-233.33%-4M135.71%10M14.29%8M67.74%-10M350.00%9M
End cash Position -45.15%390M-28.78%641M-28.78%641M-17.19%997M1.01%1B-16.06%711M-22.55%900M-22.55%900M-8.99%1.2B-22.40%994M
Free cash from -9.82%-179M262.50%174M127.87%17M-82.08%43M66.27%276M45.12%-163M-97.23%48M-2,950.00%-61M-16.08%240M-82.99%166M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.