CA Stock MarketDetailed Quotes

ASTL Algoma Steel Group Inc

Watchlist
  • 7.990
  • -0.160-1.96%
15min DelayTrading May 15 12:25 ET
838.42MMarket Cap-5.51P/E (TTM)

Algoma Steel Group Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q2)Sep 30, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
--226.5M
7.88%266.9M
111.61%452M
-60.43%97.9M
-61.30%94.7M
-54.05%213.6M
-73.56%300.6M
-72.97%247.4M
-72.97%247.4M
-58.35%244.7M
-Cash and cash equivalents
--226.5M
7.88%266.9M
111.61%452M
-60.43%97.9M
-61.30%94.7M
-54.05%213.6M
-73.56%300.6M
-72.97%247.4M
-72.97%247.4M
-58.35%244.7M
Receivables
--365.4M
7.11%311.9M
-8.26%289.8M
-8.41%266.7M
14.52%302M
9.95%315.9M
-5.02%310.4M
-27.62%291.2M
-27.62%291.2M
-42.04%263.7M
-Accounts receivable
--253.3M
-22.80%213.7M
-16.13%244.3M
-14.96%235.4M
21.61%267.3M
23.48%291.3M
-11.94%271.4M
-28.40%276.8M
-28.40%276.8M
-49.20%219.8M
-Loans receivable
--6.7M
123.33%6.7M
0.00%3M
0.00%3M
-83.33%3M
-83.61%3M
313.46%21.5M
-42.31%3M
-42.31%3M
500.00%18M
-Taxes receivable
--99.3M
--84.3M
193.50%36.1M
--20M
55.33%23.3M
-39.71%12.3M
207.41%8.3M
--0
--0
417.24%15M
-Other receivables
--6.1M
-36.84%7.2M
-31.18%6.4M
-27.19%8.3M
-22.94%8.4M
-26.77%9.3M
-14.02%9.2M
8.57%11.4M
8.57%11.4M
-33.54%10.9M
Inventory
--693.9M
21.65%879.2M
-3.66%792.6M
11.78%807.8M
-2.81%886.6M
-5.04%822.7M
19.07%759.3M
50.56%722.7M
50.56%722.7M
48.18%912.2M
Prepaid assets
--29.9M
-54.66%42.8M
-19.57%52.2M
-14.72%80.5M
-44.90%49.7M
-36.56%64.9M
7.34%99.5M
18.15%94.4M
18.15%94.4M
-22.24%90.2M
Restricted cash
--100K
-97.44%100K
-97.44%100K
0.00%3.9M
0.00%3.9M
0.00%3.9M
0.00%3.9M
-88.32%3.9M
-88.32%3.9M
-82.97%3.9M
Hedging assets-current
----
----
----
----
----
----
----
----
----
--3.4M
Other current assets
--5.4M
-17.91%5.5M
-21.21%5.2M
-14.93%5.7M
6.56%6.5M
8.20%6.6M
12.07%6.5M
19.64%6.7M
19.64%6.7M
7.02%6.1M
Total current assets
--1.32B
10.25%1.51B
11.51%1.59B
-7.60%1.26B
-11.86%1.34B
-18.00%1.43B
-33.10%1.48B
-28.71%1.37B
-28.71%1.37B
-15.45%1.52B
Non current assets
Net PPE
--1.75B
53.77%1.66B
17.18%1.5B
29.95%1.41B
27.15%1.3B
31.31%1.28B
33.31%1.14B
39.76%1.08B
39.76%1.08B
43.27%1.02B
-Gross PPE
--1.75B
52.01%2.32B
17.18%1.5B
26.30%1.93B
27.15%1.3B
31.31%1.28B
33.31%1.14B
39.38%1.53B
39.38%1.53B
43.27%1.02B
-Accumulated depreciation
----
-47.74%-660.4M
----
-17.47%-525.1M
----
----
----
-38.48%-447M
-38.48%-447M
----
Goodwill and other intangible assets
--500K
-44.44%500K
-33.33%600K
-22.22%700K
-20.00%800K
-18.18%900K
-25.00%900K
-18.18%900K
-18.18%900K
-37.50%1M
Other non current assets
--16.5M
133.80%16.6M
-6.33%7.4M
7.04%7.6M
428.57%7.4M
364.71%7.9M
261.90%7.6M
208.70%7.1M
208.70%7.1M
-50.00%1.4M
Total non current assets
--1.77B
54.21%1.68B
17.00%1.5B
29.76%1.41B
27.65%1.31B
31.83%1.29B
33.78%1.15B
40.18%1.09B
40.18%1.09B
42.73%1.02B
Total assets
--3.09B
29.75%3.19B
14.11%3.1B
8.98%2.68B
4.03%2.65B
-0.11%2.71B
-14.42%2.63B
-8.84%2.46B
-8.84%2.46B
1.12%2.55B
Liabilities
Current liabilities
Current debt and capital lease obligation
--25.4M
113.45%25.4M
95.93%24.1M
38.66%16.5M
-11.61%19.8M
17.14%12.3M
27.18%13.1M
17.82%11.9M
17.82%11.9M
198.67%22.4M
-Current debt
--25.4M
113.45%25.4M
95.93%24.1M
38.66%16.5M
-11.61%19.8M
17.14%12.3M
27.18%13.1M
17.82%11.9M
17.82%11.9M
198.67%22.4M
Payables
--206.5M
66.27%239.6M
8.14%235.2M
64.05%236.4M
7.75%214M
-26.99%217.5M
-33.84%217.4M
-47.00%144.1M
-47.00%144.1M
-41.50%198.6M
-accounts payable
--106.4M
144.31%146.1M
40.16%144.5M
137.46%142M
140.46%136.1M
16.37%103.1M
59.71%108.6M
9.52%59.8M
9.52%59.8M
-47.50%56.6M
-Total tax payable
--42.8M
188.89%41.6M
-16.28%50.4M
109.03%30.1M
-72.52%24.1M
-56.22%60.2M
-67.41%52.8M
-77.60%14.4M
-77.60%14.4M
-30.34%87.7M
-Dividends payable
--7.5M
----
----
----
----
----
-26.32%7M
----
----
----
-Other payable
--49.8M
-25.75%51.9M
-25.65%40.3M
-8.01%64.3M
-0.92%53.8M
-24.51%54.2M
-45.01%49M
-54.31%69.9M
-54.31%69.9M
-48.68%54.3M
Current accrued expenses
--149.7M
61.68%121.1M
-14.04%108.4M
7.48%80.5M
2.47%116.1M
21.84%126.1M
-82.12%106.9M
37.94%74.9M
37.94%74.9M
67.85%113.3M
Current provisions
--3.9M
-6.67%4.2M
22.73%2.7M
-31.11%3.1M
----
-46.34%2.2M
-4.65%4.1M
0.00%4.5M
0.00%4.5M
0.00%4.9M
Pension and other retirement benefit plans
--19.3M
2.99%34.5M
35.09%38.5M
-4.78%31.9M
33.33%34M
8.78%28.5M
-22.58%28.8M
-26.21%33.5M
-26.21%33.5M
--25.5M
Other current liabilities
--21.1M
-12.08%65.5M
31.44%71.9M
-19.33%60.1M
62.16%82.7M
20.48%54.7M
-35.42%53.6M
-50.76%74.5M
-50.76%74.5M
-91.62%51M
Current liabilities
--425.9M
42.78%490.3M
8.95%480.8M
24.78%428.5M
12.24%466.6M
-9.50%441.3M
-60.06%423.9M
-36.11%343.4M
-36.11%343.4M
-59.57%415.7M
Non current liabilities
Long term debt and capital lease obligation
--629.1M
472.38%634.2M
383.47%593.7M
16.97%129.6M
28.24%125.8M
32.33%122.8M
35.41%115.1M
28.69%110.8M
28.69%110.8M
15.14%98.1M
-Long term debt
--629.1M
472.46%632M
383.47%593.7M
15.40%127.4M
28.24%125.8M
32.33%122.8M
35.41%115.1M
29.58%110.4M
29.58%110.4M
15.14%98.1M
-Long term capital lease obligation
----
450.00%2.2M
----
450.00%2.2M
----
----
----
-55.56%400K
-55.56%400K
----
Long term accounts payable and other payables
----
180.77%7.3M
----
34.62%3.5M
----
----
----
13.04%2.6M
13.04%2.6M
----
Long term provisions
--34M
3.10%33.3M
16.01%38.4M
8.98%35.2M
----
-5.16%33.1M
-4.36%32.9M
-3.58%32.3M
-3.58%32.3M
-4.85%31.4M
Employee benefits
--381M
-5.40%385.6M
9.05%452M
14.92%468.4M
9.32%470.5M
-10.61%414.5M
8.97%425.4M
13.63%407.6M
13.63%407.6M
1.32%430.4M
Non current deferred liabilities
--108.8M
14.68%110.9M
18.09%101.2M
1.34%98M
0.90%100.8M
-12.19%85.7M
-15.83%87.7M
4.09%96.7M
4.09%96.7M
6.62%99.9M
Other non current liabilities
--28.2M
--16.1M
300.00%16M
--10.4M
1,211.11%47.2M
-6.98%4M
-2.50%3.9M
----
----
5.88%3.6M
Total non current liabilities
--1.18B
82.68%1.19B
81.99%1.2B
14.63%745.1M
12.19%744.3M
-4.79%660.1M
7.61%665M
13.34%650M
13.34%650M
3.64%663.4M
Total liabilities
--1.61B
68.88%1.68B
52.72%1.68B
18.14%1.17B
12.21%1.21B
-6.73%1.1B
-35.16%1.09B
-10.59%993.4M
-10.59%993.4M
-35.32%1.08B
Shareholders'equity
Share capital
--975.5M
1.71%974.8M
1.01%968.5M
0.57%963.9M
0.50%963.2M
-0.23%958.8M
2.94%958.8M
-30.45%958.4M
-30.45%958.4M
1.54%958.4M
-common stock
--975.5M
1.71%974.8M
1.01%968.5M
0.57%963.9M
0.50%963.2M
-0.23%958.8M
2.94%958.8M
-30.45%958.4M
-30.45%958.4M
1.54%958.4M
Additional paid-in capital
---4.3M
63.08%-7.9M
58.12%-8M
20.56%-17M
20.18%-17.4M
15.11%-19.1M
5.38%-21.1M
15.08%-21.4M
15.08%-21.4M
15.83%-21.8M
Retained earnings
--69.9M
-51.80%102M
-51.70%173.6M
36.29%288.4M
11.73%267.7M
13.73%359.4M
18.85%335.5M
171.98%211.6M
171.98%211.6M
253.10%239.6M
Gains losses not affecting retained earnings
--442M
40.18%439.6M
-10.52%279.7M
-14.83%267.1M
-22.64%227.2M
11.40%312.6M
32.98%265.7M
106.32%313.6M
106.32%313.6M
223.46%293.7M
Total stockholders'equity
--1.48B
3.17%1.51B
-12.28%1.41B
2.75%1.5B
-1.99%1.44B
4.99%1.61B
10.62%1.54B
-7.61%1.46B
-7.61%1.46B
72.46%1.47B
Total equity
--1.48B
3.17%1.51B
-12.28%1.41B
2.75%1.5B
-1.99%1.44B
4.99%1.61B
10.62%1.54B
-7.61%1.46B
-7.61%1.46B
72.46%1.47B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
Unqualified Opinion
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q2)Sep 30, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments --226.5M7.88%266.9M111.61%452M-60.43%97.9M-61.30%94.7M-54.05%213.6M-73.56%300.6M-72.97%247.4M-72.97%247.4M-58.35%244.7M
-Cash and cash equivalents --226.5M7.88%266.9M111.61%452M-60.43%97.9M-61.30%94.7M-54.05%213.6M-73.56%300.6M-72.97%247.4M-72.97%247.4M-58.35%244.7M
Receivables --365.4M7.11%311.9M-8.26%289.8M-8.41%266.7M14.52%302M9.95%315.9M-5.02%310.4M-27.62%291.2M-27.62%291.2M-42.04%263.7M
-Accounts receivable --253.3M-22.80%213.7M-16.13%244.3M-14.96%235.4M21.61%267.3M23.48%291.3M-11.94%271.4M-28.40%276.8M-28.40%276.8M-49.20%219.8M
-Loans receivable --6.7M123.33%6.7M0.00%3M0.00%3M-83.33%3M-83.61%3M313.46%21.5M-42.31%3M-42.31%3M500.00%18M
-Taxes receivable --99.3M--84.3M193.50%36.1M--20M55.33%23.3M-39.71%12.3M207.41%8.3M--0--0417.24%15M
-Other receivables --6.1M-36.84%7.2M-31.18%6.4M-27.19%8.3M-22.94%8.4M-26.77%9.3M-14.02%9.2M8.57%11.4M8.57%11.4M-33.54%10.9M
Inventory --693.9M21.65%879.2M-3.66%792.6M11.78%807.8M-2.81%886.6M-5.04%822.7M19.07%759.3M50.56%722.7M50.56%722.7M48.18%912.2M
Prepaid assets --29.9M-54.66%42.8M-19.57%52.2M-14.72%80.5M-44.90%49.7M-36.56%64.9M7.34%99.5M18.15%94.4M18.15%94.4M-22.24%90.2M
Restricted cash --100K-97.44%100K-97.44%100K0.00%3.9M0.00%3.9M0.00%3.9M0.00%3.9M-88.32%3.9M-88.32%3.9M-82.97%3.9M
Hedging assets-current --------------------------------------3.4M
Other current assets --5.4M-17.91%5.5M-21.21%5.2M-14.93%5.7M6.56%6.5M8.20%6.6M12.07%6.5M19.64%6.7M19.64%6.7M7.02%6.1M
Total current assets --1.32B10.25%1.51B11.51%1.59B-7.60%1.26B-11.86%1.34B-18.00%1.43B-33.10%1.48B-28.71%1.37B-28.71%1.37B-15.45%1.52B
Non current assets
Net PPE --1.75B53.77%1.66B17.18%1.5B29.95%1.41B27.15%1.3B31.31%1.28B33.31%1.14B39.76%1.08B39.76%1.08B43.27%1.02B
-Gross PPE --1.75B52.01%2.32B17.18%1.5B26.30%1.93B27.15%1.3B31.31%1.28B33.31%1.14B39.38%1.53B39.38%1.53B43.27%1.02B
-Accumulated depreciation -----47.74%-660.4M-----17.47%-525.1M-------------38.48%-447M-38.48%-447M----
Goodwill and other intangible assets --500K-44.44%500K-33.33%600K-22.22%700K-20.00%800K-18.18%900K-25.00%900K-18.18%900K-18.18%900K-37.50%1M
Other non current assets --16.5M133.80%16.6M-6.33%7.4M7.04%7.6M428.57%7.4M364.71%7.9M261.90%7.6M208.70%7.1M208.70%7.1M-50.00%1.4M
Total non current assets --1.77B54.21%1.68B17.00%1.5B29.76%1.41B27.65%1.31B31.83%1.29B33.78%1.15B40.18%1.09B40.18%1.09B42.73%1.02B
Total assets --3.09B29.75%3.19B14.11%3.1B8.98%2.68B4.03%2.65B-0.11%2.71B-14.42%2.63B-8.84%2.46B-8.84%2.46B1.12%2.55B
Liabilities
Current liabilities
Current debt and capital lease obligation --25.4M113.45%25.4M95.93%24.1M38.66%16.5M-11.61%19.8M17.14%12.3M27.18%13.1M17.82%11.9M17.82%11.9M198.67%22.4M
-Current debt --25.4M113.45%25.4M95.93%24.1M38.66%16.5M-11.61%19.8M17.14%12.3M27.18%13.1M17.82%11.9M17.82%11.9M198.67%22.4M
Payables --206.5M66.27%239.6M8.14%235.2M64.05%236.4M7.75%214M-26.99%217.5M-33.84%217.4M-47.00%144.1M-47.00%144.1M-41.50%198.6M
-accounts payable --106.4M144.31%146.1M40.16%144.5M137.46%142M140.46%136.1M16.37%103.1M59.71%108.6M9.52%59.8M9.52%59.8M-47.50%56.6M
-Total tax payable --42.8M188.89%41.6M-16.28%50.4M109.03%30.1M-72.52%24.1M-56.22%60.2M-67.41%52.8M-77.60%14.4M-77.60%14.4M-30.34%87.7M
-Dividends payable --7.5M---------------------26.32%7M------------
-Other payable --49.8M-25.75%51.9M-25.65%40.3M-8.01%64.3M-0.92%53.8M-24.51%54.2M-45.01%49M-54.31%69.9M-54.31%69.9M-48.68%54.3M
Current accrued expenses --149.7M61.68%121.1M-14.04%108.4M7.48%80.5M2.47%116.1M21.84%126.1M-82.12%106.9M37.94%74.9M37.94%74.9M67.85%113.3M
Current provisions --3.9M-6.67%4.2M22.73%2.7M-31.11%3.1M-----46.34%2.2M-4.65%4.1M0.00%4.5M0.00%4.5M0.00%4.9M
Pension and other retirement benefit plans --19.3M2.99%34.5M35.09%38.5M-4.78%31.9M33.33%34M8.78%28.5M-22.58%28.8M-26.21%33.5M-26.21%33.5M--25.5M
Other current liabilities --21.1M-12.08%65.5M31.44%71.9M-19.33%60.1M62.16%82.7M20.48%54.7M-35.42%53.6M-50.76%74.5M-50.76%74.5M-91.62%51M
Current liabilities --425.9M42.78%490.3M8.95%480.8M24.78%428.5M12.24%466.6M-9.50%441.3M-60.06%423.9M-36.11%343.4M-36.11%343.4M-59.57%415.7M
Non current liabilities
Long term debt and capital lease obligation --629.1M472.38%634.2M383.47%593.7M16.97%129.6M28.24%125.8M32.33%122.8M35.41%115.1M28.69%110.8M28.69%110.8M15.14%98.1M
-Long term debt --629.1M472.46%632M383.47%593.7M15.40%127.4M28.24%125.8M32.33%122.8M35.41%115.1M29.58%110.4M29.58%110.4M15.14%98.1M
-Long term capital lease obligation ----450.00%2.2M----450.00%2.2M-------------55.56%400K-55.56%400K----
Long term accounts payable and other payables ----180.77%7.3M----34.62%3.5M------------13.04%2.6M13.04%2.6M----
Long term provisions --34M3.10%33.3M16.01%38.4M8.98%35.2M-----5.16%33.1M-4.36%32.9M-3.58%32.3M-3.58%32.3M-4.85%31.4M
Employee benefits --381M-5.40%385.6M9.05%452M14.92%468.4M9.32%470.5M-10.61%414.5M8.97%425.4M13.63%407.6M13.63%407.6M1.32%430.4M
Non current deferred liabilities --108.8M14.68%110.9M18.09%101.2M1.34%98M0.90%100.8M-12.19%85.7M-15.83%87.7M4.09%96.7M4.09%96.7M6.62%99.9M
Other non current liabilities --28.2M--16.1M300.00%16M--10.4M1,211.11%47.2M-6.98%4M-2.50%3.9M--------5.88%3.6M
Total non current liabilities --1.18B82.68%1.19B81.99%1.2B14.63%745.1M12.19%744.3M-4.79%660.1M7.61%665M13.34%650M13.34%650M3.64%663.4M
Total liabilities --1.61B68.88%1.68B52.72%1.68B18.14%1.17B12.21%1.21B-6.73%1.1B-35.16%1.09B-10.59%993.4M-10.59%993.4M-35.32%1.08B
Shareholders'equity
Share capital --975.5M1.71%974.8M1.01%968.5M0.57%963.9M0.50%963.2M-0.23%958.8M2.94%958.8M-30.45%958.4M-30.45%958.4M1.54%958.4M
-common stock --975.5M1.71%974.8M1.01%968.5M0.57%963.9M0.50%963.2M-0.23%958.8M2.94%958.8M-30.45%958.4M-30.45%958.4M1.54%958.4M
Additional paid-in capital ---4.3M63.08%-7.9M58.12%-8M20.56%-17M20.18%-17.4M15.11%-19.1M5.38%-21.1M15.08%-21.4M15.08%-21.4M15.83%-21.8M
Retained earnings --69.9M-51.80%102M-51.70%173.6M36.29%288.4M11.73%267.7M13.73%359.4M18.85%335.5M171.98%211.6M171.98%211.6M253.10%239.6M
Gains losses not affecting retained earnings --442M40.18%439.6M-10.52%279.7M-14.83%267.1M-22.64%227.2M11.40%312.6M32.98%265.7M106.32%313.6M106.32%313.6M223.46%293.7M
Total stockholders'equity --1.48B3.17%1.51B-12.28%1.41B2.75%1.5B-1.99%1.44B4.99%1.61B10.62%1.54B-7.61%1.46B-7.61%1.46B72.46%1.47B
Total equity --1.48B3.17%1.51B-12.28%1.41B2.75%1.5B-1.99%1.44B4.99%1.61B10.62%1.54B-7.61%1.46B-7.61%1.46B72.46%1.47B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------Unqualified Opinion----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.