Taiga Building Products Ltd. (TSX:TBL)
Canada flag Canada · Delayed Price · Currency is CAD
3.550
+0.010 (0.28%)
At close: Mar 9, 2026

Taiga Building Products Income Statement

Millions CAD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 2020 - 2016
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 2020 - 2016
Revenue
1,6321,6341,6802,1932,220
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Revenue Growth (YoY)
-0.16%-2.70%-23.40%-1.21%39.68%
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Cost of Revenue
1,4551,4611,4811,9021,919
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Gross Profit
176.37173.29198.4291.15300.19
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Selling, General & Admin
112.78106.65119.24163.46165.85
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Operating Expenses
112.78106.65119.24163.46165.85
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Operating Income
63.5866.6479.16127.69134.34
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Interest Expense
-5.26-5.62-5.31-7.32-8.39
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Interest & Investment Income
1.355.883.01--
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Other Non Operating Income (Expenses)
0.520.23-0.170.14-0.29
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EBT Excluding Unusual Items
60.267.1376.69120.51125.66
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Impairment of Goodwill
-10.93----
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Asset Writedown
-9.79----
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Pretax Income
39.4867.1376.69120.51125.66
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Income Tax Expense
10.9219.5215.3831.8832.98
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Net Income
28.5647.6161.388.6392.69
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Net Income to Common
28.5647.6161.388.6392.69
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Net Income Growth
-40.02%-22.33%-30.83%-4.38%30.86%
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Shares Outstanding (Basic)
108108108108108
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Shares Outstanding (Diluted)
108108108108108
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Shares Change (YoY)
-0.00%-0.09%-0.14%-0.24%-1.64%
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EPS (Basic)
0.260.440.570.820.85
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EPS (Diluted)
0.260.440.570.820.85
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EPS Growth
-40.02%-22.26%-30.74%-4.15%33.05%
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Free Cash Flow
5544.21102.7849.72115.42
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Free Cash Flow Per Share
0.510.410.950.461.06
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Gross Margin
10.81%10.60%11.81%13.28%13.52%
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Operating Margin
3.90%4.08%4.71%5.82%6.05%
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Profit Margin
1.75%2.91%3.65%4.04%4.18%
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Free Cash Flow Margin
3.37%2.71%6.12%2.27%5.20%
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EBITDA
69.1571.6484.09131.91139.35
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EBITDA Margin
4.24%4.38%5.01%6.02%6.28%
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D&A For EBITDA
5.5754.934.225.01
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EBIT
63.5866.6479.16127.69134.34
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EBIT Margin
3.90%4.08%4.71%5.82%6.05%
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Effective Tax Rate
27.67%29.07%20.06%26.46%26.24%
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Source: S&P Capital IQ. Standard template. Financial Sources.