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OTCMAKTAF
Market cap46mUSD
Jan 08, Last price  
1.18USD
1D
-1.63%
1Q
0.13%
Name

AKITA Drilling Ltd

Chart & Performance

D1W1MN
OTCM:AKTAF chart
P/E
3.52
P/S
0.29
EPS
0.48
Div Yield, %
0.00%
Shrs. gr., 5y
10.31%
Rev. gr., 5y
13.76%
Revenues
225m
+12.18%
135,747,000162,109,548174,543,336142,944,682137,246,000106,263,000111,131,000199,934,000239,654,000167,533,000165,274,000112,488,00061,061,00071,198,000118,361,000175,890,000119,664,000110,088,000200,996,000225,479,000
Net income
18m
+329.45%
20,875,00029,263,86833,754,66020,751,81214,847,0008,380,0005,701,00023,353,00028,703,00026,515,00021,079,000-33,965,0005,329,000-39,177,000-15,939,000-19,875,000-93,274,000-20,990,0004,288,00018,415,000
CFO
36m
+95.44%
25,663,00037,490,40661,152,14438,875,75719,367,00029,235,00037,441,00034,196,00055,605,00039,554,00040,622,00041,507,00011,892,0005,074,000-8,494,00021,558,00022,860,000-3,461,00018,198,00035,567,000
Dividend
Jun 18, 20190.085 USD/sh
Earnings
Mar 19, 2025

Profile

AKITA Drilling Ltd. is an oil and gas drilling contractor in Canada and the United States. It provides contract drilling services to the oil and gas industry. The company is involved in the drilling of oil and gas wells; other forms of drilling related to potash mining; and development of storage caverns. It specializes in pad and other purpose-built drilling rigs; and conventional drilling services. As of December 31, 2021, the company had 14 wholly owned and operated drilling rigs in Canada; and 8 XDR 500 rigs and 3 XDR 850XE rigs in the United States. The company was founded in 1964 and is headquartered in Calgary, Canada.
IPO date
Jan 08, 1993
Employees
1,067
Domiciled in
CA
Incorporated in
CA

Valuation

Title
CAD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFY
2023‑122022‑122021‑122020‑122019‑122018‑122017‑122016‑122015‑12
Income
Revenues
225,479
12.18%
200,996
82.58%
Cost of revenue
195,539
182,147
Unusual Expense (Income)
NOPBT
29,940
18,849
NOPBT Margin
13.28%
9.38%
Operating Taxes
130
(749)
Tax Rate
0.43%
NOPAT
29,810
19,598
Net income
18,415
329.45%
4,288
-120.43%
Dividends
Dividend yield
Proceeds from repurchase of equity
26
BB yield
-0.05%
Debt
Debt current
645
990
Long-term debt
70,643
96,110
Deferred revenue
Other long-term liabilities
5,222
4,812
Net debt
54,980
80,902
Cash flow
Cash from operating activities
35,567
18,198
CAPEX
(24,592)
(17,982)
Cash from investing activities
(11,988)
(13,598)
Cash from financing activities
(25,162)
5,970
FCF
36,085
19,451
Balance
Cash
11,187
13,311
Long term investments
5,121
2,887
Excess cash
5,034
6,148
Stockholders' equity
149,898
132,158
Invested Capital
226,565
231,822
ROIC
13.01%
8.57%
ROCE
12.89%
7.90%
EV
Common stock shares outstanding
40,106
39,608
Price
1.37
-20.81%
1.73
84.04%
Market cap
54,946
-19.81%
68,522
84.04%
EV
109,926
149,424
EBITDA
58,450
49,112
EV/EBITDA
1.88
3.04
Interest
6,502
6,540
Interest/NOPBT
21.72%
34.70%