TFI International Inc.TFII

Market cap
$7.1B
P/E ratio
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Net income276664823505422
Adjustments for depreciation expense171225249250333
Depreciation of right-of-use assets80113126132170
Amortization of intangible assets4855566080
Share-based payment transactions715151311
Net finance costs54738081158
Income tax expense87152242172138
Gain on sale of property and equipment----7
Loss (gain) on derecognition of right-of-use assets-----0
Gain on sale of assets held for sale121278--
Loss (gain), net of impairment, on sale of assets held for sale---15-0
Loss on disposal of intangible assets-0---
Employee benefits--20156038
Provisions Net Of Payments-2226-3416
Net change in non-cash operating working capital3442-14710712
Interest paid50657870157
Income tax paid73189224233151
Net cash from operating activities6118559721,0141,063
Purchases of property and equipment143269351362393
Proceeds from sale of property and equipment52931297365
Proceeds from sale of assets held for sale24201315033
Purchases of intangible assets27636
Business combinations, net of cash acquired3281,008158629958
Proceeds from sale of investments----19
Others34-025-5
Net cash used in investing activities-378-1,163223-797-1,245
Net increase in bank indebtedness27-76-7
Proceeds from long-term debt33661334575500
Repayment of long-term debt1914437041537
Net increase in revolving facilities326-119237-25-262
Repayment of lease liabilities83115124128165
Decrease of other financial liabilities--21104
Dividends paid688597121134
Repurchase of own shares3819856828877
Proceeds from exercise of options2120171314
Share repurchase for settlement of restricted share units and performance share units---4730
Payment for settlement of restricted share units--9--
Net cash used in financing activities-228322-1,067-28-164
Net change in cash and cash equivalents415128188-346
Effect of movements in exchange rates on cash and cash equivalents----11