Taiga Building Products Ltd. (TGAFF)

USD 2.67

(0.0%)

Net Debt Summary of Taiga Building Products Ltd.

  • Taiga Building Products Ltd.'s latest annual net debt in 2023 was 2.61 Million CAD , down -11.3% from previous year.
  • Taiga Building Products Ltd.'s latest quarterly net debt in 2024 Q2 was 36.1 Million CAD , down -33.59% from previous quarter.
  • Taiga Building Products Ltd. reported annual net debt of 2.94 Million CAD in 2022, down -94.06% from previous year.
  • Taiga Building Products Ltd. reported annual net debt of 49.64 Million CAD in 2021, down -77.48% from previous year.
  • Taiga Building Products Ltd. reported quarterly net debt of 54.37 Million CAD for 2024 Q1, up 1979.2% from previous quarter.
  • Taiga Building Products Ltd. reported quarterly net debt of 2.61 Million CAD for 2023 Q4, up 106.48% from previous quarter.

Annual Net Debt Chart of Taiga Building Products Ltd. (2023 - 1999)

Historical Annual Net Debt of Taiga Building Products Ltd. (2023 - 1999)

Year Net Debt Net Debt Growth
2023 2.61 Million CAD -11.3%
2022 2.94 Million CAD -94.06%
2021 49.64 Million CAD -77.48%
2020 220.47 Million CAD -16.57%
2019 264.27 Million CAD 74.18%
2018 151.73 Million CAD 59.22%
2017 95.29 Million CAD -66.27%
2016 282.5 Million CAD 5.97%
2015 266.6 Million CAD -15.8%
2014 316.63 Million CAD -1.42%
2013 321.2 Million CAD -2.11%
2012 328.13 Million CAD 12.0%
2011 292.97 Million CAD 20.73%
2010 242.66 Million CAD -5.24%
2009 256.08 Million CAD -3.96%
2008 266.65 Million CAD -11.2%
2007 300.27 Million CAD 0.03%
2006 300.19 Million CAD -3.24%
2005 310.25 Million CAD 92.91%
2004 160.82 Million CAD 2.44%
2003 156.99 Million CAD 1.08%
2002 155.32 Million CAD 69.5%
2001 91.63 Million CAD -7.44%
2000 99 Million CAD -28.79%
1999 139.02 Million CAD 0.0%

Peer Net Debt Comparison of Taiga Building Products Ltd.

Name Net Debt Net Debt Difference
AC Partners Inc. -108.31 Thousand USD 2514.255%
Basanite, Inc. 4.16 Million USD 37.23%
BBMG Corporation 17.08 Billion USD 99.985%
CEMEX, S.A.B. de C.V. 8.22 Billion USD 99.968%
GCC, S.A.B. de C.V. -433.87 Million USD 100.603%
James Hardie Industries plc 788.13 Million USD 99.668%
The Monarch Cement Company -53.49 Million USD 104.888%
Syntrol Corp. 4.79 Million USD 45.425%