Symbols / GFL Stock $38.50 -4.01% GFL Environmental Inc.

Industrials • Waste Management • United States • NYQ
GFL (Stock) Chart
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Stock Fundamentals
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Index EQUITY
Sector Industrials
Industry Waste Management
CEO Mr. Patrick Dovigi
Exch · Country NYQ · United States
Market Cap 13.90B
Enterprise Value 22.45B
Income 206.90M
Sales 6.70B
FCF (ttm) 67.09M
Book/sh 14.89
Cash/sh 4.00
Employees 15,000
Insider 10d
IPO Mar 03, 2020
Div forward ($/yr)
Div TTM ($/yr)
Dividend Yield
Ex-Div Date
5Y Avg Yield
Yield vs 5Y Avg
Payout 16.69%
P/E 104.05
Forward P/E 42.18
PEG
P/S 2.07
P/B 2.59
P/C
EV/EBITDA 13.35
EV/Sales 3.35
Quick Ratio 1.42
Current Ratio 1.51
Debt/Eq 132.58
LT Debt/Eq
EPS (ttm) 0.37
EPS next Y 0.91
EPS Growth
Revenue Growth 5.40%
EPS Gr Q/Q
Rev Gr Q/Q
Earnings (next) 2026-07-29
Earnings (prior) 2026-04-29
ROA 1.33%
ROE 2.99%
ROIC
Gross Margin 20.71%
Oper. Margin 3.22%
Profit Margin 3.12%
Shs Outstand 349.16M
Shs Float 273.69M
Insider Own 2.96%
Instit Own 100.06%
Short Float 6.50%
Short Ratio 4.22
Short Interest 9.89M
52W High 52.00
vs 52W High -25.96%
52W Low 36.96
vs 52W Low 4.17%
Beta 0.53
Impl. Vol. 38.33%
Rel Volume 1.38
Avg Volume 2.09M
Volume 2.89M
Target (mean) $52.05
Tgt Median $53.29
Tgt Low $40.48
Tgt High $64.92
# Analysts 12
Recom Buy
Prev Close $40.11
Price $38.50
Change -4.01%
About

GFL Environmental Inc. provides non-hazardous solid waste management services in Canada and the United States. It offers solid waste management services, including collection, transportation, transfer, recycling, and disposal services for municipal, residential, commercial, and industrial customers. The company was incorporated in 2007 and is headquartered in Miami Beach, Florida.

Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus Mean price target
2. Current target Latest analyst target
3. DCF / Fair value Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$38.50
Low
$40.48
High
$64.92
Mean
$52.05

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-04-15 main Citigroup Buy → Buy $51
2026-04-14 down JP Morgan Neutral → Underweight $42
2026-04-10 main JP Morgan Neutral → Neutral $49
2026-02-12 main RBC Capital Outperform → Outperform $60
2026-02-12 main Scotiabank Sector Outperform → Sector Outperform $56
2026-02-12 main Barclays Overweight → Overweight $63
2026-01-21 main Scotiabank Sector Outperform → Sector Outperform $57
2026-01-16 main Citigroup Buy → Buy $56
2026-01-14 main JP Morgan Neutral → Neutral $48
2025-11-24 init Goldman Sachs — → Neutral $50
2025-11-10 main UBS Buy → Buy $60
2025-11-07 main JP Morgan Neutral → Neutral $47
2025-10-16 main UBS Buy → Buy $58
2025-09-25 init William Blair — → Outperform
2025-09-19 init Barclays — → Overweight $62
2025-09-17 main Citigroup Buy → Buy $61
2025-08-04 main Citigroup Buy → Buy $58
2025-08-01 main Scotiabank Sector Outperform → Sector Outperform $60
2025-08-01 main RBC Capital Outperform → Outperform $59
2025-05-23 down JP Morgan Overweight → Neutral $54
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-02-02 Dovigi (Patrick Joseph) 10% Security Holder of Issuer 465,550
2025-12-31 GFL Environmental Inc Issuer 250,000 $43.79 $10,947,500
2025-12-31 GFL Environmental Inc Issuer 725,000
2025-12-29 GFL Environmental Inc Issuer 175,000 $43.73 $7,652,750
2025-12-26 GFL Environmental Inc Issuer 150,000 $43.33 $6,499,500
2025-12-24 GFL Environmental Inc Issuer 150,000 $43.42 $6,513,000
2025-12-24 GFL Environmental Inc Issuer 863,554
2025-12-24 Grahek (Elizabeth Joy) Senior Officer of Issuer 33,000
2025-12-24 Mazari (Hamzah) Senior Officer of Issuer 1,725 $43.45 $74,951
2025-12-23 GFL Environmental Inc Issuer 200,000 $43.16 $8,632,000
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
6,615.90
+7.77%
6,138.80
-18.32%
7,515.50
+11.15%
6,761.30
Operating Revenue
6,615.90
+7.77%
6,138.80
-18.32%
7,515.50
+11.15%
6,761.30
Cost Of Revenue
5,248.60
+4.76%
5,010.00
-19.79%
6,246.10
+4.74%
5,963.70
Reconciled Cost Of Revenue
5,248.60
+4.76%
5,010.00
-19.79%
6,246.10
+4.74%
5,963.70
Gross Profit
1,367.30
+21.13%
1,128.80
-11.08%
1,269.40
+59.15%
797.60
Operating Expense
1,021.30
+12.73%
906.00
-10.15%
1,008.30
+33.07%
757.70
Selling General And Administration
967.40
+11.90%
864.50
-11.23%
973.90
+33.34%
730.40
Other Operating Expenses
53.90
+29.88%
41.50
+20.64%
34.40
+26.01%
27.30
Total Expenses
6,269.90
+5.98%
5,916.00
-18.45%
7,254.40
+7.93%
6,721.40
Operating Income
346.00
+55.30%
222.80
-14.67%
261.10
+554.39%
39.90
EBITDA
1,999.20
+98.43%
1,007.50
-54.50%
2,214.50
+38.99%
1,593.30
Normalized EBITDA
1,750.30
-2.49%
1,795.00
+8.07%
1,661.00
+7.58%
1,544.00
Reconciled Depreciation
1,316.10
-16.05%
1,567.80
+5.24%
1,489.70
-2.35%
1,525.50
EBIT
683.10
+221.92%
-560.30
-177.30%
724.80
+969.03%
67.80
Total Unusual Items
248.90
+131.61%
-787.50
-242.28%
553.50
+1022.72%
49.30
Total Unusual Items Excluding Goodwill
248.90
+131.61%
-787.50
-242.28%
553.50
+1022.72%
49.30
Special Income Charges
82.50
+117.22%
-479.10
-180.71%
593.60
+296700.00%
0.20
Other Special Charges
8.70
Restructuring And Mergern Acquisition
Write Off
7.20
Net Income
3,834.10
+630.52%
-722.70
-1691.85%
45.40
+114.56%
-311.80
Pretax Income
226.90
+120.19%
-1,123.90
-685.06%
192.10
+153.47%
-359.30
Net Non Operating Interest Income Expense
-510.80
+15.86%
-607.10
-3.94%
-584.10
-24.49%
-469.20
Interest Expense Non Operating
456.20
-19.06%
563.60
+5.80%
532.70
+24.72%
427.10
Net Interest Income
-510.80
+15.86%
-607.10
-3.94%
-584.10
-24.49%
-469.20
Interest Expense
456.20
-19.06%
563.60
+5.80%
532.70
+24.72%
427.10
Other Income Expense
391.70
+152.96%
-739.60
-243.58%
515.10
+635.86%
70.00
Other Non Operating Income Expenses
181.80
+512.12%
29.70
+28.02%
23.20
Gain On Sale Of Security
166.40
+153.96%
-308.40
-669.08%
-40.10
-181.67%
49.10
Gain On Sale Of Business
-8.60
+98.22%
-481.80
-183.00%
580.50
+11746.94%
4.90
Tax Provision
-14.20
+93.73%
-226.40
-241.59%
159.90
+190.80%
-176.10
Tax Rate For Calcs
0.00
+4.25%
0.00
-4.08%
0.00
+0.00%
0.00
Tax Effect Of Unusual Items
52.27
+132.95%
-158.64
-236.48%
116.23
+1022.72%
10.35
Net Income Including Noncontrolling Interests
3,813.40
+616.93%
-737.70
-2390.99%
32.20
+110.35%
-311.10
Net Income From Continuing Operation Net Minority Interest
261.80
+129.67%
-882.50
-2043.83%
45.40
+124.69%
-183.90
Net Income From Continuing And Discontinued Operation
3,834.10
+630.52%
-722.70
-1691.85%
45.40
+114.56%
-311.80
Net Income Continuous Operations
241.10
+126.86%
-897.50
-2887.27%
32.20
+117.58%
-183.20
Net Income Discontinuous Operations
3,572.30
+2135.48%
159.80
0.00
+100.00%
-127.90
Minority Interests
20.70
+38.00%
15.00
+13.64%
13.20
+1985.71%
-0.70
Normalized Income
65.17
+125.69%
-253.64
+35.27%
-391.87
-75.84%
-222.85
Net Income Common Stockholders
3,783.70
+571.20%
-803.00
-1615.81%
-46.80
+88.15%
-394.80
Diluted EPS
9.99
+573.46%
-2.11
-1723.08%
0.13
+112.04%
-1.08
Basic EPS
10.24
+585.31%
-2.11
-1723.08%
0.13
+112.04%
-1.08
Basic Average Shares
369.56
-2.96%
380.84
+3.03%
369.66
+0.68%
367.17
Diluted Average Shares
378.69
-0.57%
380.84
+3.03%
369.66
+0.68%
367.17
Diluted NI Availto Com Stockholders
3,783.70
+571.20%
-803.00
-1615.81%
-46.80
+88.15%
-394.80
Average Dilution Earnings
0.00
0.00
Earnings From Equity Interest
-39.00
-314.29%
18.20
+129.55%
-61.60
-397.58%
20.70
Gain On Sale Of PPE
91.10
+3274.07%
2.70
-79.39%
13.10
+378.72%
-4.70
Preferred Stock Dividends
50.40
-37.24%
80.30
-12.91%
92.20
+11.08%
83.00
Total Other Finance Cost
54.60
+25.52%
43.50
-15.37%
51.40
+22.09%
42.10
Line Item Trend 2023-12-31
Total Assets
19,879.20
Current Assets
1,485.00
Cash Cash Equivalents And Short Term Investments
135.70
Cash And Cash Equivalents
135.70
Cash Financial
135.70
Receivables
1,127.70
Accounts Receivable
1,019.10
Receivables Adjustments Allowances
-29.80
Other Receivables
90.70
Taxes Receivable
47.70
Inventory
98.20
Prepaid Assets
Other Current Assets
123.40
Total Non Current Assets
18,394.20
Net PPE
6,980.70
Gross PPE
10,562.30
Accumulated Depreciation
-3,581.60
Properties
1,812.20
Machinery Furniture Equipment
4,108.70
Construction In Progress
148.70
Other Properties
4,492.70
Goodwill And Other Intangible Assets
10,946.80
Goodwill
7,890.50
Other Intangible Assets
3,056.30
Investments And Advances
319.00
Long Term Equity Investment
319.00
Non Current Deferred Assets
64.80
Non Current Deferred Taxes Assets
64.80
Other Non Current Assets
82.90
Total Liabilities Net Minority Interest
12,493.00
Current Liabilities
1,810.40
Payables And Accrued Expenses
1,471.30
Payables
711.00
Accounts Payable
711.00
Current Accrued Expenses
760.30
Total Tax Payable
Income Tax Payable
Current Debt And Capital Lease Obligation
75.10
Current Debt
15.50
Other Current Borrowings
15.50
Current Capital Lease Obligation
59.60
Current Deferred Liabilities
207.80
Current Deferred Revenue
207.80
Other Current Liabilities
Total Non Current Liabilities Net Minority Interest
10,682.60
Long Term Debt And Capital Lease Obligation
9,213.50
Long Term Debt
8,830.10
Long Term Capital Lease Obligation
383.40
Long Term Provisions
896.00
Non Current Deferred Liabilities
534.00
Non Current Deferred Taxes Liabilities
534.00
Other Non Current Liabilities
39.10
Stockholders Equity
7,177.10
Common Stock Equity
7,177.10
Capital Stock
9,835.10
Common Stock
9,835.10
Share Issued
371.16
Ordinary Shares Number
371.16
Treasury Shares Number
0.00
Additional Paid In Capital
149.50
Retained Earnings
-2,822.60
Gains Losses Not Affecting Retained Earnings
15.10
Minority Interest
209.10
Other Equity Adjustments
15.10
Total Equity Gross Minority Interest
7,386.20
Total Capitalization
16,007.20
Working Capital
-325.40
Invested Capital
16,022.70
Total Debt
9,288.60
Net Debt
8,709.90
Capital Lease Obligations
443.00
Net Tangible Assets
-3,769.70
Tangible Book Value
-3,769.70
Current Notes Payable
0.00
Current Provisions
56.20
Interest Payable
89.30
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
1,316.00
-14.56%
1,540.20
+57.10%
980.40
-10.57%
1,096.30
Cash Flow From Continuing Operating Activities
1,316.00
-14.56%
1,540.20
+57.10%
980.40
+0.55%
975.00
Cash From Discontinued Operating Activities
0.00
-100.00%
121.30
Net Income From Continuing Operations
3,813.40
+616.93%
-737.70
-2390.99%
32.20
+110.35%
-311.10
Depreciation Amortization Depletion
1,316.10
-16.05%
1,567.80
+5.24%
1,489.70
-2.35%
1,525.50
Depreciation
1,053.90
-6.46%
1,126.70
+12.18%
1,004.40
-0.43%
1,008.70
Amortization Cash Flow
262.20
-40.56%
441.10
-9.11%
485.30
-6.10%
516.80
Depreciation And Amortization
1,316.10
-16.05%
1,567.80
+5.24%
1,489.70
-2.35%
1,525.50
Amortization Of Intangibles
262.20
-40.56%
441.10
-9.11%
485.30
-6.10%
516.80
Other Non Cash Items
369.60
-39.50%
610.90
+6.89%
571.50
+20.95%
472.50
Stock Based Compensation
151.50
+44.70%
104.70
-16.11%
124.80
+126.50%
55.10
Asset Impairment Charge
7.20
Deferred Tax
807.50
+489.91%
-207.10
-229.52%
159.90
+193.45%
-171.10
Deferred Income Tax
807.50
+489.91%
-207.10
-229.52%
159.90
+193.45%
-171.10
Operating Gains Losses
-4,600.80
-710.43%
753.70
+250.80%
-499.80
-605.93%
-70.80
Gain Loss On Investment Securities
60.00
104.30
+139.09%
-266.80
Net Foreign Currency Exchange Gain Loss
-257.10
-187.96%
292.30
+505.41%
-72.10
-133.24%
216.90
Gain Loss On Sale Of PPE
-89.90
-3986.36%
-2.20
+83.21%
-13.10
-378.72%
4.70
Change In Working Capital
-57.80
-222.91%
-17.90
-157.74%
31.00
+136.26%
-85.50
Change In Receivables
49.20
+145.05%
-109.20
-289.25%
57.70
+126.11%
-221.00
Change In Prepaid Assets
-31.50
+26.91%
-43.10
-84.98%
-23.30
+6.43%
-24.90
Change In Payables And Accrued Expense
-75.50
-156.18%
134.40
+4052.94%
-3.40
-102.12%
160.40
Change In Payable
160.40
Change In Account Payable
160.40
Investing Cash Flow
3,958.50
+335.01%
-1,684.40
-442.65%
-310.40
+82.10%
-1,734.20
Cash Flow From Continuing Investing Activities
3,958.50
+335.01%
-1,684.40
-442.65%
-310.40
+82.10%
-1,734.20
Net PPE Purchase And Sale
-1,141.40
+4.33%
-1,193.00
-13.07%
-1,055.10
-37.89%
-765.20
Purchase Of PPE
-1,141.40
+4.33%
-1,193.00
-13.07%
-1,055.10
-37.89%
-765.20
Capital Expenditure
-1,141.40
+4.33%
-1,193.00
-13.07%
-1,055.10
-37.89%
-765.20
Net Business Purchase And Sale
4,828.60
+956.89%
-563.50
-182.52%
682.90
+168.88%
-991.40
Purchase Of Business
-983.20
-51.38%
-649.50
+32.78%
-966.30
+27.51%
-1,333.10
Gain Loss On Sale Of Business
-4,352.80
-1003.45%
481.80
+183.00%
-580.50
-11746.94%
-4.90
Net Other Investing Changes
58.40
-4.73%
61.30
-0.81%
61.80
+175.89%
22.40
Financing Cash Flow
-5,316.80
-3357.84%
163.20
+127.07%
-602.80
-205.94%
569.00
Cash Flow From Continuing Financing Activities
-5,316.80
-3357.84%
163.20
+127.07%
-602.80
-205.94%
569.00
Net Issuance Payments Of Debt
-2,303.60
-1125.65%
224.60
+142.08%
-533.80
-187.38%
610.90
Issuance Of Debt
2,633.20
-18.74%
3,240.50
-34.83%
4,972.30
+200.19%
1,656.40
Repayment Of Debt
-4,936.80
-63.69%
-3,015.90
+45.23%
-5,506.10
-426.65%
-1,045.50
Long Term Debt Issuance
2,633.20
-18.74%
3,240.50
-34.83%
4,972.30
+200.19%
1,656.40
Long Term Debt Payments
-4,936.80
-63.69%
-3,015.90
+45.23%
-5,506.10
-426.65%
-1,045.50
Net Long Term Debt Issuance
-2,303.60
-1125.65%
224.60
+142.08%
-533.80
-187.38%
610.90
Net Common Stock Issuance
-2,967.40
0.00
0.00
Common Stock Payments
-2,967.40
0.00
Cash Dividends Paid
-31.10
-10.28%
-28.20
-12.80%
-25.00
-20.77%
-20.70
Repurchase Of Capital Stock
-2,967.40
0.00
Net Other Financing Charges
-14.70
+55.72%
-33.20
+24.55%
-44.00
-107.55%
-21.20
Changes In Cash
-42.30
-322.63%
19.00
-71.73%
67.20
+197.53%
-68.90
Effect Of Exchange Rate Changes
-5.90
+71.77%
-20.90
-53.68%
-13.60
+65.48%
-39.40
Beginning Cash Position
133.80
-1.40%
135.70
+65.29%
82.10
-56.88%
190.40
End Cash Position
85.60
-36.02%
133.80
-1.40%
135.70
+65.29%
82.10
Free Cash Flow
174.60
-49.71%
347.20
+564.79%
-74.70
-122.56%
331.10
Common Stock Issuance
0.00
Dividends Received CFI
212.90
+1871.30%
10.80
0.00
Earnings Losses From Equity Investments
39.00
+314.29%
-18.20
-129.55%
61.60
+397.58%
-20.70
Interest Paid CFO
-449.20
+8.40%
-490.40
+5.20%
-517.30
-24.59%
-415.20
Issuance Of Capital Stock
0.00
Sale Of Business
5,811.80
+6657.91%
86.00
-94.79%
1,649.20
+382.65%
341.70
Taxes Refund Paid
-34.30
+21.69%
-43.80
+89.36%
-411.60
-1586.89%
-24.40
SEC Filings

No SEC filings found for this symbol (may be non-US or ticker not in SEC index).

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