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CFWFF:OTCMKTS
Calfrac Well Services Ltd
US$ ४.५६
+१.३३%
(+०.०६०) 1D
US$ ४.५९
+०.६३% (+०.०२९)
After hours
Closed: मे २९, १६:००:०० GMT-४  ·   USD
All symbols
SymbolPriceChange% Change
Generating top insights for CFWFF...
Open
US$ ४.५६
High
US$ ४.५८
Low
US$ ४.५०
Mkt. cap
६३.६० करोड
Avg. vol.
७.९८ हजार
Volume
४७.८५ हजार
52-wk high
US$ ४.८५
52-wk low
US$ २.११
Beta
०.१५
Shares outstanding
९.९९ करोड
No. of employees
२ हजार
Open
US$ ४.५६
High
US$ ४.५८
Low
US$ ४.५०
Mkt. cap
६३.६० करोड
Avg. vol.
७.९८ हजार
Volume
४७.८५ हजार
52-wk high
US$ ४.८५
52-wk low
US$ २.११
Beta
०.१५
Shares outstanding
९.९९ करोड
No. of employees
२ हजार
News stories
From sources across the web
Profile
Calfrac Well Services Ltd. is an oilfield services company operating in Canada, the United States, and Argentina. Services include hydraulic fracturing, coiled tubing, cementing and other well stimulation techniques designed to help increase the production of oil and natural gas. Wikipedia
About Calfrac Well Services Ltd
CEO-
Employees१.८६ हजार
Founded१९९९
Headquartersकैलगरी, अल्बर्टा, क्यानाडा
Sector-
Previous reportsAll values in CAD
Loading Previous Earnings...
Income statement
Revenue
Net income
All values in CAD
२०२५ जुन
२०२५ सेप्टेम्बर
२०२५ डिसेम्बर
२०२६ मार्च
Revenue
४०.२३ करोड
३२.३४ करोड
२९.२२ करोड
३०.५४ करोड
Cost of goods sold
३४.७२ करोड
२८.९८ करोड
२७.७६ करोड
२७.३१ करोड
Cost of revenue
३४.७२ करोड
२८.९८ करोड
२७.७६ करोड
२७.३१ करोड
Research and development expenses
-
-
-
-
Total research and development expenses
-
-
-
-
Selling, general, and admin expenses
१.६० करोड
१.६७ करोड
१.३१ करोड
१.४३ करोड
Operating expense
१.६० करोड
१.६७ करोड
१.३१ करोड
१.४३ करोड
Total operating expenses
३६.३१ करोड
३०.६५ करोड
२९.०७ करोड
२८.७४ करोड
Operating income
३.९१ करोड
१.६९ करोड
१४.८८ लाख
१.८० करोड
Other non operating income
-
-
-
-
EBT including unusual items
२.३७ करोड
१४.०६ लाख
२.६८ करोड
१.७९ करोड
EBT excluding unusual items
२.४६ करोड
१५.३१ लाख
२.४६ करोड
१.७४ करोड
Income tax expense
८४.१६ लाख
-२८.८९ लाख
१.२२ करोड
-९.६१ लाख
Effective tax rate
३५.४५%
-२०५.४८%
४५.७५%
-५.३६%
Other operating expenses
-
-
-
-
Net income
१.४८ करोड
४९.१७ लाख
४९.३३ लाख
१.८९ करोड
Net profit margin
३.६८%
१.५२%
१.६९%
६.१८%
Earnings per share
०.२७
०.०७
०.१५
०.१८
Interest and investment income
४.९९ लाख
१३.९७ लाख
८.४४ लाख
-
Interest expense
-८४.६० लाख
-८१.९७ लाख
-७५.५० लाख
-३२.२४ लाख
Net interest expenses
-७९.६१ लाख
-६८.०० लाख
-६७.०६ लाख
-३२.२४ लाख
Depreciation and amortization charges
-
-
-
-
EBITDA
६.९६ करोड
४.५० करोड
३.०४ करोड
४.८२ करोड
Gain or loss from assets sale
९.०१ लाख
१.२५ लाख
-२३.९० लाख
-४.९६ लाख
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