Calfrac Well Services Ltd.
Income Statement

Last updated:

Income statement is a financial statement that shows how profitable a business was over a given reporting period presenting its revenue, expenses or net income. Calfrac Well Services Ltd.'s past years’ income statements indicate that its last revenue has increased compared to the previous period by 24% to $1,864,281,000. The net income raised on $190,672,000 and profit margin reached 10%. Total operating expenses were $60,614,000.

Profit Margin

Calfrac Well Services Ltd. (OTC:CFWFF): Profit margin
2014 2.49B 66.97M 2.68%
2015 1.49B -221.59M -14.82%
2016 734.51M -198.09M -26.97%
2017 1.52B 5.93M 0.39%
2018 2.25B -18.18M -0.81%
2019 1.62B -156.20M -9.64%
2020 705.43M -324.23M -45.96%
2021 1.00B -82.81M -8.26%
2022 1.49B 35.30M 2.35%
2023 1.86B 190.67M 10.23%

CFWFF Income Statement (2014 – 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Revenue
Revenue
1.86B1.49B1.00B705.43M1.62B2.25B1.52B734.51M1.49B2.49B
Cost of revenue
1.59B1.34B1.02B806.57M1.65B2.01B1.40B875.47M1.54B2.14B
Gross profit
268.12M154.60M-18.62M-101.14M-38.60M243.45M120.65M-140.96M-48.67M349.15M
Operating exp.
Research and development
0000000000
Selling and marketing
0000000000
Total operating expenses
60.61M62.19M45.59M48.88M69.87M91.94M71.32M70.06M78.57M131.34M
Operating income
207.51M92.40M-64.22M-150.02M-108.48M151.50M49.32M211.02M127.25M207.57M
Other income (expenses), net
-5.88M-68.12M-44.13M-5.58M-99.94M-75.64M-56.46M-22.05M-199.93M-91.32M
Income before tax
201.62M24.28M-108.35M-155.61M-208.42M-30.76M-7.13M-313.18M-341.52M116.24M
Income tax expense
4.05M-11.02M-25.54M168.62M-52.22M-4.59M-7.72M-109.63M-114.09M48.74M
Net income
190.67M35.30M-82.81M-324.23M-156.20M-18.18M5.93M-198.09M-221.59M66.97M
Earnings per share
Basic EPS
2.320.83-2.21-76.78-54.03-6.312-84.72-115.5335.5
Diluted EPS
2.240.42-2.21-76.78-54.03-6.192-84.42-115.3235.5