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CCL Industries Inc - End Period Cash Flow

CCL Industries Inc's Fiscal Year is From January To December - All Figures are in CAD, Billions.

The item "End-Period-Cash-Flow" stands at 3.75 Billion Canadian Dollars for the trailing twelve months (TTM) period ending 09/30/2025, the highest value at least since 03/31/2012, the period currently displayed.

CCL Industries Inc's third quarter result of 1.14 Billion CAD for the item "End Period Cash Flow" represents an increase of 18.12 percent compared to it's second quarter result.

Also, CCL Industries Inc's third quarter result of 1.14 Billion CAD for the item "End Period Cash Flow" represents an increase of 49.67 percent compared to it's third quarter result of last year.

Looking again at the trailing twelve months series (TTM), CCL Industries Inc's third quarter result of 3.75 Billion CAD for the item "End Period Cash Flow" represents an increase of 11.19 percent compared to it's second quarter result.


Regarding the One-Year-Change of the series, the current value constitutes an increase of 27.20 percent compared to the value the year prior.
The 1 year change in percent is 27.20.
The 3 year change in percent is 46.79.
The 5 year change in percent is 42.62.
The 10 year change in percent is 289.99.

The Serie's long term average value is 2.02 Billion Canadian Dollars. It's latest available value, on 09/30/2025, is 85.90 percent higher, compared to it's long term average value.
The Serie's change in percent from it's minimum value, on 12/31/2011, to it's latest available value, on 09/30/2025, is +740.85%.
The Serie's change in percent from it's maximum value, on 09/30/2025, to it's latest available value, on 09/30/2025, is 0.0%.

End Period Cash Flow for Related Companies:

LogoNameMarket Cap (USD)
LogoInternational Paper - End Period Cash Flow20,625,176,576.00
LogoSmurfit WestRock plc - End Period Cash Flow18,819,596,288.00
LogoPackaging Corp of America - End Period Cash Flow17,858,988,032.00
LogoAvery Dennison Corp - End Period Cash Flow13,861,383,168.00
LogoDS Smith PLC - End Period Cash Flow10,784,747,580.30