US Stock MarketDetailed Quotes

STN Stantec

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  • 82.680
  • +0.250+0.30%
Close Aug 16 16:00 ET
9.43BMarket Cap37.21P/E (TTM)

Stantec Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
159.03%80.3M
55.04%56.9M
79.00%544.7M
25.76%263.6M
129.22%213.4M
804.55%31M
511.67%36.7M
-23.35%304.3M
29.30%209.6M
-7.82%93.1M
Net income from continuing operations
-3.86%84.6M
22.34%79.4M
34.09%331.2M
1.22%74.4M
52.79%103.9M
44.98%88M
44.87%64.9M
23.07%247M
342.77%73.5M
-2.86%68M
Operating gains losses
----
----
----
----
20.00%3M
----
----
----
----
733.33%2.5M
Depreciation and amortization
13.60%81M
7.70%78.3M
0.04%283.6M
-5.60%69.1M
-0.28%70.5M
1.13%71.3M
5.21%72.7M
27.82%283.5M
22.41%73.2M
28.08%70.7M
Deferred tax
41.57%-5.2M
----
-5.56%-45.6M
-6.71%-17.5M
0.00%-12.9M
-8.54%-8.9M
----
-881.82%-43.2M
-227.13%-16.4M
0.77%-12.9M
Other non cash items
389.55%19.4M
51.95%-7.4M
-126.09%-5.2M
68.63%-3.2M
25.71%4.4M
-259.52%-6.7M
-7,800.00%-15.4M
-291.67%-2.3M
-200.00%-10.2M
1,266.67%3.5M
Change In working capital
2.39%-134.7M
-11.66%-124.5M
57.83%-107.1M
61.29%120M
144.53%22.4M
9.51%-138M
11.23%-111.5M
-100.95%-254M
570.27%74.4M
-61.74%-50.3M
-Change in receivables
36.14%-104.8M
-62.80%-33.7M
64.59%-120.1M
471.65%141.6M
39.45%-76.9M
-33.96%-164.1M
59.88%-20.7M
-248.25%-339.2M
-315.25%-38.1M
-77.37%-127M
-Change in prepaid assets
220.59%10.9M
-2.56%-16M
-71.43%-4.8M
-93.75%-3.1M
40.00%10.5M
-48.48%3.4M
-1.96%-15.6M
-247.37%-2.8M
64.44%-1.6M
-34.78%7.5M
-Change in payables and accrued expense
-426.09%-15M
-31.96%-76.8M
-338.60%-54.4M
-188.39%-54.8M
-6.90%54M
110.70%4.6M
-7.38%-58.2M
134.65%22.8M
261.46%62M
137.70%58M
-Change in other working capital
-242.54%-25.8M
111.76%2M
10.74%72.2M
-30.33%36.3M
210.71%34.8M
182.81%18.1M
-277.78%-17M
86.82%65.2M
43.53%52.1M
143.48%11.2M
Cash from discontinued investing activities
Operating cash flow
159.03%80.3M
55.04%56.9M
79.00%544.7M
25.76%263.6M
129.22%213.4M
804.55%31M
511.67%36.7M
-23.35%304.3M
29.30%209.6M
-7.82%93.1M
Investing cash flow
Cash flow from continuing investing activities
-57.47%-164.4M
-1,600.42%-408.1M
-173.31%-201.7M
-53.14%-26.8M
-4.03%-46.5M
-161.00%-104.4M
-184.51%-24M
90.35%-73.8M
97.44%-17.5M
-61.37%-44.7M
Net PPE purchase and sale
-116.67%-40.3M
5.96%-20.5M
-34.31%-100.6M
29.02%-20.3M
-98.51%-39.9M
-39.85%-18.6M
-101.85%-21.8M
-63.54%-74.9M
-102.84%-28.6M
-30.52%-20.1M
Net business purchase and sale
-63.62%-123.7M
---431.3M
-50.00%-75.6M
--0
--0
-58.82%-75.6M
--0
92.83%-50.4M
99.58%-2.8M
--0
Net investment purchase and sale
77.98%-2.4M
600.00%41.5M
-197.92%-37.6M
-448.65%-12.9M
78.76%-5.5M
-148.88%-10.9M
-121.67%-8.3M
378.26%38.4M
177.08%3.7M
-292.42%-25.9M
Net other investing changes
185.71%2M
-63.93%2.2M
-7.63%12.1M
-37.25%6.4M
-184.62%-1.1M
150.00%700K
103.33%6.1M
523.81%13.1M
1,033.33%10.2M
316.67%1.3M
Cash from discontinued investing activities
Investing cash flow
-57.47%-164.4M
-1,600.42%-408.1M
-173.31%-201.7M
-53.14%-26.8M
-4.03%-46.5M
-161.00%-104.4M
-184.51%-24M
90.35%-73.8M
97.44%-17.5M
-61.37%-44.7M
Financing cash flow
Cash flow from continuing financing activities
-43.00%98.9M
788.65%194.2M
54.84%-134M
69.30%-54.5M
-105.86%-224.8M
1,113.29%173.5M
-16.05%-28.2M
-207.31%-296.7M
-135.71%-177.5M
-53.16%-109.2M
Net issuance payments of debt
-39.48%122.8M
1,524.34%216.5M
-90.54%-326.2M
-94.67%-310.7M
-126.28%-203.2M
209.77%202.9M
-219.69%-15.2M
-147.78%-171.2M
-131.31%-159.6M
-55.36%-89.8M
Net common stock issuance
----
----
510.11%267.8M
--277.8M
--0
----
----
-28.80%-65.3M
--0
--0
Cash dividends paid
-10.14%-23.9M
-11.50%-22.3M
-8.57%-84.9M
-8.00%-21.6M
-8.54%-21.6M
-8.50%-21.7M
-9.29%-20M
-8.16%-78.2M
-8.70%-20M
-8.74%-19.9M
Proceeds from stock option exercised by employees
----
--0
-48.33%9.3M
--0
--0
----
-29.29%7M
-56.31%18M
-63.16%2.1M
-89.58%500K
Net other financing activities
----
----
----
----
----
---7.7M
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-43.00%98.9M
788.65%194.2M
54.84%-134M
69.30%-54.5M
-105.86%-224.8M
1,113.29%173.5M
-16.05%-28.2M
-207.31%-296.7M
-135.71%-177.5M
-53.16%-109.2M
Net cash flow
Beginning cash position
51.25%199.5M
137.96%352.9M
-20.57%148.3M
24.01%172M
34.63%227.8M
-31.37%131.9M
-20.57%148.3M
-34.45%186.7M
-34.67%138.7M
-15.61%169.2M
Current changes in cash
-85.21%14.8M
-912.90%-157M
415.71%209M
1,148.63%182.3M
4.77%-57.9M
432.56%100.1M
-253.47%-15.5M
27.49%-66.2M
160.83%14.6M
-3,140.00%-60.8M
Effect of exchange rate changes
192.86%3.9M
500.00%3.6M
-115.83%-4.4M
72.00%-1.4M
-93.07%2.1M
-159.15%-4.2M
80.43%-900K
508.82%27.8M
-212.50%-5M
209.18%30.3M
End cash Position
-4.21%218.2M
51.25%199.5M
137.96%352.9M
137.96%352.9M
24.01%172M
34.63%227.8M
-31.37%131.9M
-20.57%148.3M
-20.57%148.3M
-34.67%138.7M
Free cash flow
222.58%40M
144.30%36.4M
93.59%444.1M
34.42%243.3M
137.67%173.5M
170.06%12.4M
315.94%14.9M
-33.78%229.4M
23.13%181M
-12.89%73M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 159.03%80.3M55.04%56.9M79.00%544.7M25.76%263.6M129.22%213.4M804.55%31M511.67%36.7M-23.35%304.3M29.30%209.6M-7.82%93.1M
Net income from continuing operations -3.86%84.6M22.34%79.4M34.09%331.2M1.22%74.4M52.79%103.9M44.98%88M44.87%64.9M23.07%247M342.77%73.5M-2.86%68M
Operating gains losses ----------------20.00%3M----------------733.33%2.5M
Depreciation and amortization 13.60%81M7.70%78.3M0.04%283.6M-5.60%69.1M-0.28%70.5M1.13%71.3M5.21%72.7M27.82%283.5M22.41%73.2M28.08%70.7M
Deferred tax 41.57%-5.2M-----5.56%-45.6M-6.71%-17.5M0.00%-12.9M-8.54%-8.9M-----881.82%-43.2M-227.13%-16.4M0.77%-12.9M
Other non cash items 389.55%19.4M51.95%-7.4M-126.09%-5.2M68.63%-3.2M25.71%4.4M-259.52%-6.7M-7,800.00%-15.4M-291.67%-2.3M-200.00%-10.2M1,266.67%3.5M
Change In working capital 2.39%-134.7M-11.66%-124.5M57.83%-107.1M61.29%120M144.53%22.4M9.51%-138M11.23%-111.5M-100.95%-254M570.27%74.4M-61.74%-50.3M
-Change in receivables 36.14%-104.8M-62.80%-33.7M64.59%-120.1M471.65%141.6M39.45%-76.9M-33.96%-164.1M59.88%-20.7M-248.25%-339.2M-315.25%-38.1M-77.37%-127M
-Change in prepaid assets 220.59%10.9M-2.56%-16M-71.43%-4.8M-93.75%-3.1M40.00%10.5M-48.48%3.4M-1.96%-15.6M-247.37%-2.8M64.44%-1.6M-34.78%7.5M
-Change in payables and accrued expense -426.09%-15M-31.96%-76.8M-338.60%-54.4M-188.39%-54.8M-6.90%54M110.70%4.6M-7.38%-58.2M134.65%22.8M261.46%62M137.70%58M
-Change in other working capital -242.54%-25.8M111.76%2M10.74%72.2M-30.33%36.3M210.71%34.8M182.81%18.1M-277.78%-17M86.82%65.2M43.53%52.1M143.48%11.2M
Cash from discontinued investing activities
Operating cash flow 159.03%80.3M55.04%56.9M79.00%544.7M25.76%263.6M129.22%213.4M804.55%31M511.67%36.7M-23.35%304.3M29.30%209.6M-7.82%93.1M
Investing cash flow
Cash flow from continuing investing activities -57.47%-164.4M-1,600.42%-408.1M-173.31%-201.7M-53.14%-26.8M-4.03%-46.5M-161.00%-104.4M-184.51%-24M90.35%-73.8M97.44%-17.5M-61.37%-44.7M
Net PPE purchase and sale -116.67%-40.3M5.96%-20.5M-34.31%-100.6M29.02%-20.3M-98.51%-39.9M-39.85%-18.6M-101.85%-21.8M-63.54%-74.9M-102.84%-28.6M-30.52%-20.1M
Net business purchase and sale -63.62%-123.7M---431.3M-50.00%-75.6M--0--0-58.82%-75.6M--092.83%-50.4M99.58%-2.8M--0
Net investment purchase and sale 77.98%-2.4M600.00%41.5M-197.92%-37.6M-448.65%-12.9M78.76%-5.5M-148.88%-10.9M-121.67%-8.3M378.26%38.4M177.08%3.7M-292.42%-25.9M
Net other investing changes 185.71%2M-63.93%2.2M-7.63%12.1M-37.25%6.4M-184.62%-1.1M150.00%700K103.33%6.1M523.81%13.1M1,033.33%10.2M316.67%1.3M
Cash from discontinued investing activities
Investing cash flow -57.47%-164.4M-1,600.42%-408.1M-173.31%-201.7M-53.14%-26.8M-4.03%-46.5M-161.00%-104.4M-184.51%-24M90.35%-73.8M97.44%-17.5M-61.37%-44.7M
Financing cash flow
Cash flow from continuing financing activities -43.00%98.9M788.65%194.2M54.84%-134M69.30%-54.5M-105.86%-224.8M1,113.29%173.5M-16.05%-28.2M-207.31%-296.7M-135.71%-177.5M-53.16%-109.2M
Net issuance payments of debt -39.48%122.8M1,524.34%216.5M-90.54%-326.2M-94.67%-310.7M-126.28%-203.2M209.77%202.9M-219.69%-15.2M-147.78%-171.2M-131.31%-159.6M-55.36%-89.8M
Net common stock issuance --------510.11%267.8M--277.8M--0---------28.80%-65.3M--0--0
Cash dividends paid -10.14%-23.9M-11.50%-22.3M-8.57%-84.9M-8.00%-21.6M-8.54%-21.6M-8.50%-21.7M-9.29%-20M-8.16%-78.2M-8.70%-20M-8.74%-19.9M
Proceeds from stock option exercised by employees ------0-48.33%9.3M--0--0-----29.29%7M-56.31%18M-63.16%2.1M-89.58%500K
Net other financing activities -----------------------7.7M----------------
Cash from discontinued financing activities
Financing cash flow -43.00%98.9M788.65%194.2M54.84%-134M69.30%-54.5M-105.86%-224.8M1,113.29%173.5M-16.05%-28.2M-207.31%-296.7M-135.71%-177.5M-53.16%-109.2M
Net cash flow
Beginning cash position 51.25%199.5M137.96%352.9M-20.57%148.3M24.01%172M34.63%227.8M-31.37%131.9M-20.57%148.3M-34.45%186.7M-34.67%138.7M-15.61%169.2M
Current changes in cash -85.21%14.8M-912.90%-157M415.71%209M1,148.63%182.3M4.77%-57.9M432.56%100.1M-253.47%-15.5M27.49%-66.2M160.83%14.6M-3,140.00%-60.8M
Effect of exchange rate changes 192.86%3.9M500.00%3.6M-115.83%-4.4M72.00%-1.4M-93.07%2.1M-159.15%-4.2M80.43%-900K508.82%27.8M-212.50%-5M209.18%30.3M
End cash Position -4.21%218.2M51.25%199.5M137.96%352.9M137.96%352.9M24.01%172M34.63%227.8M-31.37%131.9M-20.57%148.3M-20.57%148.3M-34.67%138.7M
Free cash flow 222.58%40M144.30%36.4M93.59%444.1M34.42%243.3M137.67%173.5M170.06%12.4M315.94%14.9M-33.78%229.4M23.13%181M-12.89%73M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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