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North American Construction Group Ltd (NOA)

North American Construction Group Ltd (NOA)
[[ item.lastPrice ]] [[ item.priceChange ]] ([[ item.percentChange ]]) [[ item.tradeTime ]] [NYSE]
[[ item.bidPrice ]] x [[ item.bidSize ]] [[ item.askPrice ]] x [[ item.askSize ]]
[[ session ]] by (Cboe BZX)
[[ item.lastPrice ]] [[ item.priceChange ]] ([[ item.percentChange ]]) [[ item.tradeTime ]] [NYSE]
[[ item.bidPrice ]] x [[ item.bidSize ]] [[ item.askPrice ]] x [[ item.askSize ]]
[[ session ]] [[ item.lastPriceExt ]] [[ item.priceChangeExt ]] ([[ item.percentChangeExt ]]) [[ item.tradeTimeExt ]]
Cash Flow for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2025 12-2024 12-2023 12-2022 12-2021
Cash Flows From Operating Activities
Net Income 24,215 32,173 46,775 51,823 41,018
Depreciation Amortization 157,583 123,835 98,492 92,569 87,035
Income taxes - deferred 10,506 14,034 11,839 11,881 6,611
Accounts receivable 13,726 -52,622 42,283 -8,427 -24,452
Accounts payable and accrued liabilities -8,108 -23,535 7,101 9,807 24,920
Other Working Capital -3,355 -47,104 37,818 -10,238 535
Other Operating Activity -5,559 112,027 -44,001 -17,265 -3,870
Operating Cash Flow $189,009 $158,810 $200,306 $130,149 $131,797
Cash Flows From Investing Activities
PPE Investments -192,828 -194,547 -142,523 -83,150 -76,137
Net Acquisitions N/A -2,819 -38,278 -1,696 -9,092
Purchase Of Investment N/A N/A N/A N/A -1,563
Purchase Sale Intangibles -3,053 -3,064 -506 -2,896 -980
Other Investing Activity 3,289 -3,097 -606 9,873 7,586
Investing Cash Flow $-189,539 $-200,464 $-181,406 $-74,973 $-79,207
Cash Flows From Financing Activities
Debt Issued 541,115 171,115 251,892 64,151 107,756
Debt Repayment -450,651 -95,121 -233,795 -23,997 -131,150
Common Stock Issued N/A N/A N/A N/A 414
Common Stock Repurchased -29,857 -1,800 -4,438 -27,816 -17,569
Dividend Paid -9,585 -10,914 -7,433 -5,979 -3,529
Other Financing Activity -35,590 -29,721 -11,965 -21,354 -29,934
Financing Cash Flow $15,433 $33,559 $-5,739 $-14,994 $-74,012
Exchange Rate Effect 1,024 258 1,263 234 2
Beginning Cash Position 55,735 64,671 51,222 12,770 34,666
End Cash Position 71,662 56,833 65,645 53,186 13,246
Net Cash Flow $15,927 $-7,837 $14,423 $40,416 $-21,420
Free Cash Flow
Operating Cash Flow 189,009 158,810 200,306 130,149 131,797
Capital Expenditure -201,180 -204,449 -150,241 -85,765 -89,814
Free Cash Flow -12,171 -45,640 50,065 44,384 41,983
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