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Canadian Solar Inc (CSIQ)

Canadian Solar Inc (CSIQ)
9.28 -0.19 (-2.01%) 14:09 ET [NASDAQ]
9.26 x 100 9.30 x 100
Realtime by (Cboe BZX)
9.26 x 100 9.30 x 100
Realtime 9.35 -0.12 (-1.27%) 09:25 ET
Financial Summary for Thu, Mar 13th, 2025
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Canadian Solar Inc. is a vertically integrated manufacturer of silicon ingots, wafers, cells, solar panels and custom-designed solar power applications across countries. The company designs, manufactures and delivers solar products and solar system solutions for both on-grid and off-grid use to customers world wide. Its production facilities are structured for the manufacturing of ingots, wafers, solar cells, solar PV modules, solar power systems & specialized solar products. The company's products include a range of solar modules built to general specifications for use in a wide range of residential, commercial & industrial solar power generation systems. Specialty solar products comprise customized solar modules and complete specialty products, such as portable solar home systems. It has active solar projects in California, N. Carolina & Massachusetts. To provide solar power generation in rural areas of China, it implements solar power development projects in conjunction with government organizations.

Fiscal Year End Date: 12/31

(Values in U.S. Thousands) Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020 Dec, 2019
Sales 7,613,630 7,468,610 5,277,170 3,476,500 3,200,580
Sales Growth +1.94% +41.53% +51.80% +8.62% -14.53%
Net Income 274,190 239,970 95,250 146,700 171,590
Net Income Growth +14.26% +151.94% -35.07% -14.51% -27.62%
(Values in U.S. Thousands) Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020 Dec, 2019
Total Assets 11,895,760 9,037,130 7,388,340 6,536,850 5,467,210
Total Assets Growth +31.63% +22.32% +13.03% +19.56% +11.74%
Total Liabilities 8,190,520 6,730,430 5,261,900 4,644,070 4,042,150
Total Liabilities Growth +21.69% +27.91% +13.30% +14.89% +11.67%
(Values in U.S. Thousands) Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020 Dec, 2019
Operating Cash Flow 684,620 916,630 -408,250 -120,540 600,110
Operating Cash Flow Growth -25.31% +324.53% -238.68% -120.09% +177.47%
Net Cash Flow 976,930 535,220 -205,430 434,300 264,430
Change in Net Cash Flow +82.53% +360.54% -147.30% +64.24% +206.14%
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