Symbols / STN Stock $89.33 +0.04% Stantec Inc.

Industrials • Engineering & Construction • Canada • NYQ
STN (Stock) Chart
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Stock Fundamentals
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Index EQUITY
Sector Industrials
Industry Engineering & Construction
CEO Mr. Gordon Allan Johnston P.Eng.
Exch · Country NYQ · Canada
Market Cap 10.19B
Enterprise Value 12.33B
Income 479.40M
Sales 6.49B
FCF (ttm) 820.30M
Book/sh 20.63
Cash/sh 3.55
Employees 34,000
Insider 10d
IPO Aug 05, 2005
Div forward ($/yr)
Div TTM ($/yr)
Dividend Yield
Ex-Div Date
5Y Avg Yield
Yield vs 5Y Avg
Payout 21.43%
P/E 29.10
Forward P/E 17.68
PEG 1.38
P/S 1.57
P/B 4.33
P/C
EV/EBITDA 13.01
EV/Sales 1.90
Quick Ratio 1.20
Current Ratio 1.23
Debt/Eq 78.60
LT Debt/Eq
EPS (ttm) 3.07
EPS next Y 5.05
EPS Growth -5.00%
Revenue Growth 10.90%
EPS Gr Q/Q -4.20%
Rev Gr Q/Q
Earnings (next) 2026-05-13
Earnings (prior) 2026-02-25
ROA 6.51%
ROE 15.50%
ROIC
Gross Margin 54.34%
Oper. Margin 10.58%
Profit Margin 7.38%
Shs Outstand 114.07M
Shs Float 113.73M
Insider Own 0.07%
Instit Own 79.71%
Short Float
Short Ratio 3.57
Short Interest 1.63M
52W High 114.52
vs 52W High -22.00%
52W Low 84.08
vs 52W Low 6.24%
Beta 0.73
Impl. Vol. 59.38%
Rel Volume 0.40
Avg Volume 358.31K
Volume 144.97K
Target (mean)
Tgt Median
Tgt Low
Tgt High
# Analysts
Recom Buy
Prev Close $89.29
Price $89.33
Change 0.04%
About

Stantec Inc. provides professional services in the areas of infrastructure and facilities to private and public sectors in Canada, the United States, and internationally. The company offers evaluation, planning, and designing infrastructure solutions; various permitting, conservation, ecosystem restoration, health sciences, and environmental, social, and governance strategy services; solutions for sustainable water resources, planning, management, and infrastructure; integrated architecture, engineering, interior design, and planning solutions for buildings; and energy and resources solutions. It also provides consulting services in engineering, architecture, interior design, landscape architecture, surveying, environmental sciences, project management, and project economics. In addition, the company provides fire engineering, electrical, mechanical, hydraulics, buildings sustainability, and civil expertise services; services in mission critical, academic, civic, cultural, aviation, science and technology, commercial, industrial, and workplace; and delivers services to local authorities, government departments, private clients, and utility companies. Further, the company is involved in the planning, design, construction administration, commissioning, maintenance, decommissioning, and remediation services. Additionally, it offers infrastructure planning, inspection, project management, and construction management services; transportation, buildings, and environmental services; and energy and sustainability, fire safety, civil and structural, and mechanical, electrical and plumbing (MEP) engineering, transport, environmental, and geotechnical services. The company was formerly known as Stanley Technology Group Inc. and changed its name to Stantec Inc. in October 1998. Stantec Inc. was founded in 1954 and is headquartered in Edmonton, Canada.

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
$89.33
Low
High
Mean

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-03-02 main RBC Capital Outperform → Outperform $175
2023-10-10 main National Bank Financial Inc Outperform → Outperform $105
2023-09-12 main Stifel Buy → Buy $105
2023-08-11 main Stifel Buy → Buy $98
2023-06-05 main Stifel Buy → Buy $93
2023-05-12 main Stifel Buy → Buy $86
2023-02-24 main Stifel Buy → Buy $86
2022-08-12 main Stifel Buy → Buy $72
2022-06-22 main Stifel Buy → Buy $70
2022-03-09 main Stifel Buy → Buy $74
2021-12-01 main Stifel Buy → Buy $79
2021-10-24 main Stifel Buy → Buy $70
2021-08-05 main Stifel Buy → Buy $70
2020-04-16 down BMO Capital Outperform → Market Perform
2016-08-17 up National Bank Financial Inc Sector Perform → Outperform
2016-05-13 up Raymond James Market Perform → Outperform
2016-04-14 down DA Davidson Buy → Neutral
2016-02-26 down Raymond James Outperform → Market Perform
2015-07-22 down RBC Capital Outperform → Sector Perform
2015-06-24 up DA Davidson Neutral → Buy
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-04-04 Szysky (Arliss Elaine) Director or Senior Officer of Insider or Subsidiary of Issuer (other than in 4,5,6) 0
2026-04-01 Ammerman (Douglas Keith) Director of Issuer 534 $87.70 $46,832
2026-04-01 Brown (Shelley Ann Marie) Director of Issuer 299 $87.91 $26,285
2026-04-01 Morin (Marie-Lucie) Director of Issuer 158 $87.86 $13,881
2026-03-16 Reisbord (Susan) Director or Senior Officer of Insider or Subsidiary of Issuer (other than in 4,5,6) 3,400 $88.75 $301,750
2026-03-06 Samji (Asifa) Director or Senior Officer of Insider or Subsidiary of Issuer (other than in 4,5,6) 125 $90.21 $11,276
2026-01-02 Ammerman (Douglas Keith) Director of Issuer 497 $95.30 $47,362
2026-01-02 Brown (Shelley Ann Marie) Director of Issuer 282 $95.45 $26,916
2026-01-02 Morin (Marie-Lucie) Director of Issuer 132 $95.46 $12,600
2025-12-31 Alpern, Paul Jeremy David Director or Senior Officer of Insider or Subsidiary of Issuer (other than in 4,5,6) 282 $101.95 $28,750
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
8,144.20
+8.59%
7,500.00
+15.75%
6,479.60
+14.13%
5,677.20
Operating Revenue
8,144.20
+8.59%
7,500.00
+15.75%
6,479.60
+14.13%
5,677.20
Cost Of Revenue
4,615.20
+7.22%
4,304.30
+15.25%
3,734.90
+14.57%
3,259.90
Reconciled Cost Of Revenue
4,615.20
+7.22%
4,304.30
+15.25%
3,734.90
+14.57%
3,259.90
Gross Profit
3,529.00
+10.43%
3,195.70
+16.43%
2,744.70
+13.54%
2,417.30
Operating Expense
2,809.20
+7.85%
2,604.70
+15.82%
2,248.90
+11.00%
2,026.00
Selling General And Administration
2,457.50
+7.50%
2,286.10
+16.32%
1,965.30
+12.79%
1,742.50
Total Expenses
7,424.40
+7.46%
6,909.00
+15.46%
5,983.80
+13.20%
5,285.90
Operating Income
719.80
+21.79%
591.00
+19.20%
495.80
+26.71%
391.30
EBITDA
1,096.80
+21.64%
901.70
+13.56%
794.00
+17.07%
678.20
Normalized EBITDA
1,089.00
+18.51%
918.90
+17.33%
783.20
+16.39%
672.90
Reconciled Depreciation
351.70
+10.39%
318.60
+12.34%
283.60
+0.04%
283.50
EBIT
745.10
+27.78%
583.10
+14.24%
510.40
+29.31%
394.70
Total Unusual Items
7.80
+145.35%
-17.20
-259.26%
10.80
+103.77%
5.30
Total Unusual Items Excluding Goodwill
7.80
+145.35%
-17.20
-259.26%
10.80
+103.77%
5.30
Special Income Charges
-6.00
+78.49%
-27.90
-9200.00%
-0.30
-102.70%
11.10
Impairment Of Capital Assets
6.00
-82.81%
34.90
+11533.33%
0.30
+105.45%
-5.50
Net Income
479.40
+32.61%
361.50
+14.22%
316.50
+28.14%
247.00
Pretax Income
630.00
+35.40%
465.30
+14.13%
407.70
+25.41%
325.10
Net Non Operating Interest Income Expense
-102.00
+2.30%
-104.40
-12.26%
-93.00
-27.05%
-73.20
Interest Expense Non Operating
115.10
-2.29%
117.80
+14.70%
102.70
+47.56%
69.60
Net Interest Income
-102.00
+2.30%
-104.40
-12.26%
-93.00
-27.05%
-73.20
Interest Expense
115.10
-2.29%
117.80
+14.70%
102.70
+47.56%
69.60
Interest Income Non Operating
14.90
+4.93%
14.20
+21.37%
11.70
+108.93%
5.60
Interest Income
14.90
+4.93%
14.20
+21.37%
11.70
+108.93%
5.60
Other Income Expense
12.20
+157.28%
-21.30
-534.69%
4.90
-30.00%
7.00
Other Non Operating Income Expenses
4.40
+207.32%
-4.10
+30.51%
-5.90
-447.06%
1.70
Gain On Sale Of Security
13.80
+28.97%
10.70
-3.60%
11.10
+291.38%
-5.80
Tax Provision
150.60
+45.09%
103.80
+13.82%
91.20
+16.77%
78.10
Tax Rate For Calcs
0.00
+7.17%
0.00
-0.45%
0.00
-6.67%
0.00
Tax Effect Of Unusual Items
1.86
+148.60%
-3.84
-258.55%
2.42
+90.19%
1.27
Net Income Including Noncontrolling Interests
479.40
+32.61%
361.50
+14.22%
316.50
+28.14%
247.00
Net Income From Continuing Operation Net Minority Interest
479.40
+32.61%
361.50
+14.22%
316.50
+28.14%
247.00
Net Income From Continuing And Discontinued Operation
479.40
+32.61%
361.50
+14.22%
316.50
+28.14%
247.00
Net Income Continuous Operations
479.40
+32.61%
361.50
+14.22%
316.50
+28.14%
247.00
Net Income Discontinuous Operations
Normalized Income
473.46
+26.30%
374.86
+21.66%
308.12
+26.81%
242.97
Net Income Common Stockholders
479.40
+32.61%
361.50
+14.22%
316.50
+28.14%
247.00
Diluted EPS
4.20
+32.49%
3.17
+9.18%
2.90
+30.79%
2.22
Basic EPS
4.20
+32.49%
3.17
+9.18%
2.90
+30.26%
2.23
Basic Average Shares
114.14
+0.09%
114.04
-0.03%
114.07
+2.94%
110.81
Diluted Average Shares
114.14
+0.07%
114.07
+0.00%
114.07
+2.70%
111.07
Diluted NI Availto Com Stockholders
479.40
+32.61%
361.50
+14.22%
316.50
+28.14%
247.00
Amortization
147.50
+19.14%
123.80
+21.37%
102.00
-2.49%
104.60
Amortization Of Intangibles Income Statement
147.50
+19.14%
123.80
+21.37%
102.00
-2.49%
104.60
Depreciation Amortization Depletion Income Statement
351.70
+10.39%
318.60
+12.34%
283.60
+0.04%
283.50
Depreciation And Amortization In Income Statement
351.70
+10.39%
318.60
+12.34%
283.60
+0.04%
283.50
Depreciation Income Statement
204.20
+4.83%
194.80
+7.27%
181.60
+1.51%
178.90
Earnings From Equity Interest
Gain On Sale Of PPE
0.00
-100.00%
7.00
0.00
-100.00%
5.60
Total Other Finance Cost
1.80
+125.00%
0.80
-60.00%
2.00
-78.26%
9.20
Line Item Trend 2023-12-31
Total Assets
5,766.30
Current Assets
2,272.50
Cash Cash Equivalents And Short Term Investments
368.70
Cash And Cash Equivalents
352.90
Cash Equivalents
158.50
Cash Financial
194.40
Other Short Term Investments
15.80
Receivables
1,848.70
Accounts Receivable
1,016.10
Gross Accounts Receivable
1,018.80
Allowance For Doubtful Accounts Receivable
-2.70
Other Receivables
760.00
Taxes Receivable
72.60
Prepaid Assets
53.80
Restricted Cash
Other Current Assets
1.30
Total Non Current Assets
3,493.80
Net PPE
710.40
Gross PPE
963.10
Accumulated Depreciation
-252.70
Properties
0.00
Buildings And Improvements
431.00
Machinery Furniture Equipment
75.10
Other Properties
218.80
Leases
238.20
Goodwill And Other Intangible Assets
2,339.30
Goodwill
2,073.60
Other Intangible Assets
265.70
Investments And Advances
262.50
Non Current Deferred Assets
92.60
Non Current Deferred Taxes Assets
92.60
Other Non Current Assets
16.70
Total Liabilities Net Minority Interest
3,315.20
Current Liabilities
1,616.90
Payables And Accrued Expenses
447.90
Payables
373.30
Accounts Payable
351.90
Current Accrued Expenses
74.60
Employee Benefits
29.50
Pensionand Other Post Retirement Benefit Plans Current
415.90
Total Tax Payable
21.40
Income Tax Payable
21.40
Current Debt And Capital Lease Obligation
248.90
Current Debt
147.60
Other Current Borrowings
124.00
Current Capital Lease Obligation
101.30
Current Deferred Liabilities
397.50
Current Deferred Revenue
397.50
Other Current Liabilities
55.00
Total Non Current Liabilities Net Minority Interest
1,698.30
Long Term Debt And Capital Lease Obligation
1,452.00
Long Term Debt
974.20
Long Term Capital Lease Obligation
477.80
Long Term Provisions
134.80
Defined Pension Benefit
72.30
Non Current Pension And Other Postretirement Benefit Plans
29.50
Tradeand Other Payables Non Current
Non Current Deferred Liabilities
26.40
Non Current Deferred Taxes Liabilities
26.40
Other Non Current Liabilities
55.60
Stockholders Equity
2,451.10
Common Stock Equity
2,451.10
Capital Stock
1,271.30
Common Stock
1,271.30
Share Issued
114.07
Ordinary Shares Number
114.07
Treasury Shares Number
0.00
Additional Paid In Capital
5.50
Retained Earnings
1,104.50
Gains Losses Not Affecting Retained Earnings
69.80
Minority Interest
Other Equity Adjustments
69.80
Total Equity Gross Minority Interest
2,451.10
Total Capitalization
3,425.30
Working Capital
655.60
Invested Capital
3,572.90
Total Debt
1,700.90
Net Debt
768.90
Capital Lease Obligations
579.10
Net Tangible Assets
111.80
Tangible Book Value
111.80
Available For Sale Securities
262.50
Current Provisions
51.70
Investmentin Financial Assets
262.50
Line Of Credit
23.60
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
862.90
+43.08%
603.10
+15.98%
520.00
+70.88%
304.30
Cash Flow From Continuing Operating Activities
862.90
+43.08%
603.10
+15.98%
520.00
+70.88%
304.30
Cash From Discontinued Operating Activities
Net Income From Continuing Operations
479.40
+32.61%
361.50
+14.22%
316.50
+28.14%
247.00
Depreciation Amortization Depletion
351.70
+10.39%
318.60
+12.34%
283.60
+0.04%
283.50
Depreciation
204.20
+4.83%
194.80
+7.27%
181.60
+1.51%
178.90
Amortization Cash Flow
147.50
+19.14%
123.80
+21.37%
102.00
-2.49%
104.60
Depreciation And Amortization
351.70
+10.39%
318.60
+12.34%
283.60
+0.04%
283.50
Amortization Of Intangibles
147.50
+19.14%
123.80
+21.37%
102.00
-2.49%
104.60
Other Non Cash Items
1.60
+200.00%
-1.60
+70.91%
-5.50
-139.13%
-2.30
Stock Based Compensation
40.30
-6.28%
43.00
-28.45%
60.10
+131.15%
26.00
Provisionand Write Offof Assets
78.40
+20.06%
65.30
+135.74%
27.70
-41.44%
47.30
Asset Impairment Charge
6.00
-82.81%
34.90
+11533.33%
0.30
+105.45%
-5.50
Deferred Tax
27.90
+165.80%
-42.40
+15.87%
-50.40
-16.67%
-43.20
Deferred Income Tax
27.90
+165.80%
-42.40
+15.87%
-50.40
-16.67%
-43.20
Operating Gains Losses
2.40
Gain Loss On Investment Securities
2.40
Unrealized Gain Loss On Investment Securities
Change In Working Capital
-122.40
+30.53%
-176.20
-56.90%
-112.30
+55.79%
-254.00
Change In Receivables
21.90
+113.07%
-167.50
-39.47%
-120.10
+64.59%
-339.20
Changes In Account Receivables
124.90
+200.97%
-123.70
-366.79%
-26.50
+87.48%
-211.70
Change In Prepaid Assets
3.30
-2.94%
3.40
+170.83%
-4.80
-71.43%
-2.80
Change In Payables And Accrued Expense
-108.70
-82.38%
-59.60
+0.00%
-59.60
-361.40%
22.80
Change In Other Working Capital
-38.90
-181.89%
47.50
-34.21%
72.20
+10.74%
65.20
Investing Cash Flow
-534.10
+11.72%
-605.00
-199.95%
-201.70
-173.31%
-73.80
Cash Flow From Continuing Investing Activities
-534.10
+11.72%
-605.00
-199.95%
-201.70
-173.31%
-73.80
Net PPE Purchase And Sale
-71.90
+27.37%
-99.00
+1.59%
-100.60
-34.31%
-74.90
Purchase Of PPE
-71.90
+27.37%
-99.00
+1.59%
-100.60
-34.31%
-74.90
Capital Expenditure
-71.90
+27.37%
-99.00
+1.59%
-100.60
-34.31%
-74.90
Net Investment Purchase And Sale
-10.50
-131.07%
33.80
+189.89%
-37.60
-197.92%
38.40
Purchase Of Investment
-92.50
-131.25%
-40.00
+63.77%
-110.40
+46.46%
-206.20
Sale Of Investment
82.00
+11.11%
73.80
+1.37%
72.80
-70.24%
244.60
Net Business Purchase And Sale
-454.00
+18.20%
-555.00
-634.13%
-75.60
-50.00%
-50.40
Purchase Of Business
-454.00
+18.20%
-555.00
-634.13%
-75.60
-50.00%
-50.40
Net Intangibles Purchase And Sale
-6.40
Purchase Of Intangibles
-6.40
Net Other Investing Changes
2.30
-84.87%
15.20
+25.62%
12.10
-7.63%
13.10
Financing Cash Flow
-139.50
+8.28%
-152.10
-39.16%
-109.30
+63.16%
-296.70
Cash Flow From Continuing Financing Activities
-139.50
+8.28%
-152.10
-39.16%
-109.30
+63.16%
-296.70
Net Issuance Payments Of Debt
-38.50
+33.73%
-58.10
+80.73%
-301.50
-76.11%
-171.20
Issuance Of Debt
434.80
+148.46%
175.00
-49.83%
348.80
0.00
Repayment Of Debt
-473.30
-103.05%
-233.10
+64.16%
-650.30
-174.85%
-236.60
Long Term Debt Issuance
422.80
+141.60%
175.00
-49.83%
348.80
0.00
Long Term Debt Payments
-473.30
-110.17%
-225.20
+62.95%
-607.90
-156.93%
-236.60
Net Long Term Debt Issuance
-50.50
-0.60%
-50.20
+80.63%
-259.10
-9.51%
-236.60
Short Term Debt Issuance
12.00
65.40
Short Term Debt Payments
-7.90
+81.37%
-42.40
Net Short Term Debt Issuance
12.00
+251.90%
-7.90
+81.37%
-42.40
-164.83%
65.40
Net Common Stock Issuance
0.00
-100.00%
277.80
+525.42%
-65.30
Common Stock Payments
-10.00
+84.69%
-65.30
Common Stock Dividend Paid
-101.00
-7.45%
-94.00
-10.72%
-84.90
-8.57%
-78.20
Cash Dividends Paid
-101.00
-7.45%
-94.00
-10.72%
-84.90
-8.57%
-78.20
Repurchase Of Capital Stock
-10.00
+84.69%
-65.30
Proceeds From Stock Option Exercised
9.30
-48.33%
18.00
Net Other Financing Charges
-0.70
Changes In Cash
189.30
+222.92%
-154.00
-173.68%
209.00
+415.71%
-66.20
Effect Of Exchange Rate Changes
-19.70
-166.55%
29.60
+772.73%
-4.40
-115.83%
27.80
Beginning Cash Position
228.50
-35.25%
352.90
+137.96%
148.30
-20.57%
186.70
End Cash Position
398.10
+74.22%
228.50
-35.25%
352.90
+137.96%
148.30
Free Cash Flow
791.00
+56.91%
504.10
+20.20%
419.40
+82.82%
229.40
Interest Paid Supplemental Data
179.30
+85.61%
96.60
+15.69%
83.50
+36.66%
61.10
Income Tax Paid Supplemental Data
83.70
-25.73%
112.70
-21.52%
143.60
+57.46%
91.20
Common Stock Issuance
0.00
-100.00%
277.80
0.00
Issuance Of Capital Stock
0.00
-100.00%
277.80
0.00
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