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Calfrac Well Services Ltd
CA$6.98
-0.29%
(-0.020) 1D
Aug 28, 4:00:00 PM GMT-4  ·   CAD
All symbols
SymbolPriceChange% Change
Generating top insights for CFW...
Open
CA$7.01
High
CA$7.03
Low
CA$6.94
Mkt. cap
704.58M
Avg. vol.
77.40K
Volume
56.69K
P/E ratio
11.34
52-wk high
CA$7.35
52-wk low
CA$3.02
EPS
CA$0.62
Beta
-0.02
Shares outstanding
100.94M
No. of employees
2K
Open
CA$7.01
High
CA$7.03
Low
CA$6.94
Mkt. cap
704.58M
Avg. vol.
77.40K
Volume
56.69K
P/E ratio
11.34
52-wk high
CA$7.35
52-wk low
CA$3.02
EPS
CA$0.62
Beta
-0.02
Shares outstanding
100.94M
No. of employees
2K
News stories
From web sources and news partners
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-
Employees1.86K
Founded1999
HeadquartersCalgary, Alberta, Canada
SectorEnergy
Last report
Aug 6, 2026
Fiscal period
Q2 2026
EPS / Est. (CAD)
CA$0.31 / CA$0.27
+13.60%beat
Revenue / Est. (CAD)
426.69M / 366.85M
+16.31%beat
Fiscal Q2 2026 earnings call
Waiting for the earnings call
At a glance
Insights from the latest news and reports
Previous reportsAll values in CAD
Loading Previous Earnings...
Income statement
Revenue
Net income
All values in CAD
Sep 2025
Dec 2025
Mar 2026
Jun 2026
Revenue
323.41M
292.18M
305.36M
426.69M
Cost of goods sold
289.81M
277.61M
273.10M
368.94M
Cost of revenue
289.81M
277.61M
273.10M
368.94M
Research and development expenses
-
-
-
-
Total research and development expenses
-
-
-
-
Selling, general, and admin expenses
16.68M
13.08M
14.28M
17.56M
Operating expense
16.68M
13.08M
14.28M
17.56M
Total operating expenses
306.49M
290.69M
287.38M
386.50M
Operating income
16.91M
1.49M
17.98M
40.18M
Other non operating income
-
-
-
-
EBT including unusual items
1.41M
26.76M
17.92M
40.33M
EBT excluding unusual items
1.53M
24.60M
17.43M
36.28M
Income tax expense
-2.89M
12.24M
-961.00K
8.50M
Effective tax rate
-205.48%
45.75%
-5.36%
21.08%
Other operating expenses
-
-
-
-
Net income
4.92M
4.93M
18.88M
31.82M
Net profit margin
1.52%
1.69%
6.18%
7.46%
Earnings per share
0.07
0.15
0.18
0.31
Interest and investment income
1.40M
844.00K
981.00K
272.00K
Interest expense
-8.20M
-7.55M
-4.20M
-3.52M
Net interest expenses
-6.80M
-6.71M
-3.22M
-3.25M
Depreciation and amortization charges
-
-
-
-
EBITDA
44.98M
30.44M
46.65M
69.76M
Gain or loss from assets sale
125.00K
-2.39M
-496.00K
-4.05M
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