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Enerflex Ltd.
SIC 3560 · General Industrial Machinery & Equipment
Notes
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Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
beta
Latest Financials
Filings:
Category
Date
Search Filings
Institutional Holders
beta
Earnings Transcripts
beta
Global Search
SEC Edgar
Enerflex Ltd.
SIC 3560 · General Industrial Machinery & Equipment
Notes
Support
about
terms
Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
beta
Latest Financials
Filings:
Category
Date
Search Filings
Institutional Holders
beta
Earnings Transcripts
beta
Global Search
SEC Edgar
Enerflex Ltd.
SIC 3560 · General Industrial Machinery & Equipment
Notes
Support
about
terms
$
EFXT
Enerflex Ltd.
CIK:
0001904856
|
SEC Filings
Income Statement
Cash Flow
Balance Sheet
v3.25.4
Consolidated Statements of Earnings and Comprehensive Income (Loss) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Profit or loss [abstract]
Revenue
$ 2,571
$ 2,414
Cost of goods sold ("COGS")
1,989
1,910
Gross margin
582
504
Selling, general and administrative expenses ("SG&A")
272
327
Foreign exchange ("FX") loss
4
4
Operating income
306
173
Gain on disposal of PP&E
1
0
Loss on financial instruments
(4)
(11)
Derecognition and unrealized (loss) gain on redemption options
(17)
17
Equity earnings from associates and joint ventures
(3)
0
Earnings before finance costs and income taxes ("EBIT")
283
179
Net finance costs
120
98
Earnings (loss) before income taxes ("EBT")
163
81
Current income taxes
92
72
Deferred income taxes
7
(23)
Income taxes
99
49
Net earnings (loss)
64
32
Items that may be reclassified to profit or loss in subsequent periods
Change in fair value of derivatives designated as cash-flow hedges, net of income tax recovery
(1)
0
Gain on derivatives designated as cash flow hedges transferred to net earnings (loss), net of income tax expense
0
1
Unrealized gain (loss) on translation of foreign-denominated debt
28
(51)
Unrealized gain (loss) on translation of financial statements of foreign operations
(12)
22
Other comprehensive income (loss)
15
(28)
Total comprehensive income (loss)
$ 79
$ 4
Earnings (loss) per share - basic
$ 0.52
$ 0.26
Earnings (loss) per share - diluted
$ 0.52
$ 0.26
Weighted average number of shares – basic
122,866,038
124,023,920
Weighted average number of shares – diluted
123,056,223
124,164,271
v3.25.4
Consolidated Statements Of Cash Flows - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Operating Activities
Net earnings
$ 64
$ 32
Adjustments for:
Depreciation and amortization
161
185
Equity earnings and impairment of associates and joint ventures
3
0
Deferred income taxes
7
(23)
Share-based compensation expense
26
29
Loss on financial instruments
4
11
Derecognition and unrealized loss (gain) on redemption options
17
(17)
(Gain) on sale of PP&E
(1)
0
Impairment of EI assets
3
1
Debt extinguishment costs of the 2027 Notes
42
0
Adjustments to reconcile profit (loss) other than changes in working capital
326
218
Net change in working capital and other
19
106
Cash provided by operating activities
345
324
Additions to:
PP&E
(19)
(16)
EI assets - operating leases
(96)
(59)
Intangible assets
0
(2)
Proceeds on disposal of:
PP&E
1
0
EI assets - operating leases
22
3
Net (purchases) of financial instruments
(4)
0
Net change in working capital associated with investing activities
(7)
15
Cash used in investing activities
(103)
(59)
Financing Activities
Repayment of the Revolving Credit Facility
(3)
(41)
Repayment of the 2027 Notes
(576)
(62)
Issuance of the 2031 Notes
400
0
Repayment of the Term Loan
0
(130)
Lease liability principal repayment
(23)
(20)
Dividends
(17)
(9)
Stock option exercises
2
1
Shares repurchased - NCIB
(23)
0
Deferred transaction costs
(10)
(2)
Cash used in financing activities
(250)
(263)
Effect of exchange rate changes on cash and cash equivalents denominated in foreign currencies
(3)
(5)
Decrease in cash and cash equivalents
(11)
(3)
Cash and cash equivalents, beginning of period
92
95
Cash and cash equivalents, end of period
$ 81
$ 92
v3.25.4
Consolidated Statements of Financial Position - USD ($)
$ in Millions
Dec. 31, 2025
Dec. 31, 2024
Current assets
Cash and cash equivalents
$ 81
$ 92
Accounts receivable
345
398
Unbilled revenue
164
157
Inventories
280
258
Inventories - work-in-progress ("WIP") related to EI assets - finance leases receivable
35
Energy infrastructure ("EI") assets - finance leases receivable
58
49
Income taxes receivable
11
3
Derivative financial instruments
1
0
Prepayments
52
49
Total current assets
992
1,041
Unbilled revenue
1
2
Property, plant and equipment ("PP&E")
102
96
EI assets - operating leases
686
713
EI assets - finance leases receivable
180
189
Lease right-of-use assets
61
58
Deferred tax assets
21
24
Intangible assets
29
37
Goodwill
430
422
Other assets
192
209
Total assets
2,694
2,791
Current liabilities
Accounts payable and accrued liabilities
396
413
Provisions
25
22
Income taxes payable
80
79
Deferred revenue
355
375
Lease liabilities
22
22
Derivative financial instruments
1
0
Total current liabilities
879
911
Deferred revenue
13
11
Long-term debt
582
708
Lease liabilities
50
47
Deferred tax liabilities
51
48
Other liabilities
26
17
Total liabilities
1,601
1,742
Shareholders' equity
Share capital
498
505
Contributed surplus
664
678
Retained earnings
130
80
Accumulated other comprehensive loss
(199)
(214)
Total shareholders' equity
1,093
1,049
Total liabilities and shareholders' equity
$ 2,694
$ 2,791