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Profile - Canfor Corporation (CFP.TO)
As of 28-Dec-01
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Location
3000-Four Bentall Centre
1055 Dunsmuir Street
Vancouver British Columbia
V7X 1B5
Canada
Phone:  +1 604 6615241
Fax:  +1 604 6615235
 
Financial Links
·Historical Quote Data
Business Summary
Canfor Corporation. The Group produces and supplies lumber, plywood, bleached kraft pulp and kraft paper; semi-bleached and unbleached kraft pulp, bleached and unbleached kraft paper, re-manufacture lumber products, hard board panelling and a range of specialized wood products, including baled fibre, fibre mat and moulded fibre items. It has an extensive woodlands operations and manufacturing facilities in British Columbia and Alberta as well as lumber re-manufacturing plant in Washington State. Howe Sound Pulp and Paper Limited which produces bleached kraft pulp and newsprint is owned equally by the Group and Oji Paper Co., Ltd. The Group operates in Canada, the United States, Europe, Far East and other countries. Wood products accounted for 52% of 2000 revenues; pulp products, 29%' pulp specialty and kraft paper, 10% and coastal operations, 9%.

Industry: Gypsum, Lumber & Building Supplies
Employees: N/A

Officers:
Peter John Gerald Bentley - Chairman
David L. Emerson - President & Chief Executive
C.W. Reid - Chief Financial Officer
D.M. Calabrigo - Secretary

Statistics at a Glance -- CFP.TO(in Canadian Dollars)(updated 28-Dec-01)

Share Information

Recent Price

$9.80

Year To Date High$12.60
Year To Date Low$8.05
Beta.96
Daily Volume869.5M
Market Capitalization$794.7M
Shares Outstanding81.1M

Valuation Ratios - 2000

Price/Earnings TTM13.07
Price/Book.81
Price/Sales0.35
Price/Cash Flow3.38
Price/Capex6.53
Dividend Yield TTM2.65%
Per-Share Data - 2000
Book Value$12.09
Cash$0.21
Dividend TTM$0.26
Sales$27.94
Earnings$1.50
Income Statement - 2000
Sales$2.27B
EBITDA$382.9M
Operating Profit$263.6M
Interest Expense$63.0M
Interest Income$1.70M
Net Income$125.6M
Balance Sheet & Cash Flow - 2000
Cash$16.7M
Short Term Debt$336.7M
Long Term Debt$400.9M
Total Debt$737.7M
Shareholder's Equity$950.7M
Depreciation$112.7M
Capex$121.8M

Management Effectiveness - 2000

Return on Assets7.10%
Return on Equity16.28%
Return on Investment-39.88%

Financial Strength - 2000

LT Debt/Equity42.17%
Total Debt/Equity77.59%
LT Debt/Total Capitalization29.66%
Ratio Analysis - 2000
Gross Profit Margin14.61%
EBITDA Margin16.90%
Operating Margin11.63%
Net Income Margin5.54%
Capex as % of Sales5.38%
Quick Ratio.36
Inventory Turnover4.03
Stock Performance

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