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Basic Materials

Taiga Building Products Ltd.(TGAFF)

Live Price

Offline

$2.62

+0.00% today

1Y Change

-28.42%

Window

Jun 23, 2025 โ†’ Jun 17, 2026

Market Cap
$400.00M
Revenue Growth
-0.2%
EPS Growth
-40.9%
Dividend Yield
90.1%

Coverage: 253 bars ยท Jun 23, 2025 โ†’ Jun 17, 2026

Research Briefing

A compact read on the setup, peer context, quarterly changes, and recent earnings reaction.

Decision context

Research Snapshot

Taiga Building Products Ltd. (TGAFF) is a Basic Materials stock with a market cap of $400.00M and listed on OTC. The stock last traded around $2.62 and down 28.4% across the available one-year price window (Jun 23, 2025 โ†’ Jun 17, 2026). Baseline metrics include revenue growth of -0.2%, EPS growth of -40.9%, a dividend yield of 90.1%. What stands out right now is revenue -0.2%, EPS -40.9%, free cash flow +24.3% with operating margin 3.9% and ROIC 11.1%. The dividend matters to the case here, with a current yield around 90.1%. Valuation is more restrained than many high-expectation growth names at P/E 14.0 and price/sales 0.2. Overall, the current profile looks closer to a income-oriented value setup than a generic broad-market placeholder. Stock Foundry combines TGAFF price history, valuation, growth, dividend context, earnings, analyst forecasts, news, related Basic Materials peers on this page.

Benchmark Comparison

Normalized Performance vs SPY

Compare this ticker against a broad index, growth benchmark, or sector ETF using a shared 1Y normalization window.

1Y shared range

TGAFF

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Normalized return

SPY

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S&P 500

Excess Return

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Relative to SPY

TGAFF Max Drawdown

-72.68%

Trailing 1Y

SPY Max Drawdown

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Trailing 1Y

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Calendar-Year Returns

Uses the longest available daily history for TGAFF and SPY.

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Financial profile

Taiga Building Products Ltd. (TGAFF)

Profitability, balance sheet stamina, and cash efficiency drawn from the latest filings.

FY Revenue

$2.2B

+1.2% YoY

FY Net Income

$92.7M

+4.6% YoY

Free Cash Flow

$115.4M

+132.2% YoY

Revenue Growth

-0.2%

EPS Growth

-40.9%

Gross Margin

10.8%

Net Margin

1.8%

Income statement

CAD

Annual
Metric20252024202320222021
Revenue1.6B1.6B1.7B2.2B2.2B
Gross Profit176M173M198M291M300M
Operating Income62M67M79M127M134M
EBITDA76M85M94M139M145M
Net Income29M48M61M89M93M
EPS (Diluted)โ€”โ€”โ€”โ€”โ€”

Balance sheet

CAD

Point-in-time
Metric20252024202320222021
Cash & Equivalents34M192M153M94M70M
Total Assets520M694M624M618M583M
Total Liabilities214M239M229M255M316M
Shareholder Equity306M454M395M363M267M
Total Debt103M97M95M97M119M
Net Debt69M-95M-57M3M50M

Cash flow positioning

Latest Full Year

Operating Cash Flow

119M

+120.4% YoY

Capital Expenditures

3M

+21.9% YoY

Free Cash Flow

115M

+132.2% YoY

Key ratios

  • Gross Margin

    10.8%

  • Operating Margin

    3.9%

  • Net Margin

    1.8%

  • ROE

    8.3%

  • Debt / Equity

    0.34x

Next Step

Turn financials into a decision

Use the numbers to decide whether this is a growth candidate, a quality compounder, or just an interesting outlier.