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  • Oct 28, 2024

  • Oct 25, 2024

  • Oct 24, 2024

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    • 4:09PM ET on Thursday Oct 24, 2024 by MT Newswires
      Companies Mentioned: WPK
      04:09 PM EDT, 10/24/2024 (MT Newswires) -- ...
    • 12:52PM ET on Thursday Oct 24, 2024 by MT Newswires
      Companies Mentioned: WPK
      12:52 PM EDT, 10/24/2024 (MT Newswires) -- Winpak (WPK.TO) on Thursday reported higher profit and revenue for the third quarter. The packaging and packaging-equipment company said net income increased 13% to US$38.5 million, or US$0.61 per share, fr...
    • 12:30PM ET on Thursday Oct 24, 2024 by Dow Jones
      Companies Mentioned: WPK
      Dividends - - (4,351) (4,351) - (4,351) Balance at October 1, 2023 29,195 (132) 1,283,484 1,312,547 35,294 1,347,841 Balance at January 1, 2024 29,195 1,361 1,319,491 1,350,047 33,602 1,383,649 Comprehensive (loss) income for the period Cash flow hedge losses, net of tax - (1,563) - (1,563) - (1,563) Cash flow hedge losses transferred to the statements of income, net of tax - 362 - 362 - 362 Cash flow hedge losses transferred to property, plant and equipment - 29 - 29 - 29 Other comprehensive loss - (1,172) - (1,172) - (1,172) Net income for the period - - 112,833 112,833 1,270 114,103 Comprehensive (loss) income for the period - (1,172) 112,833 111,661 1,270 112,931 Dividends - - (5,151) (5,151) - (5,151) Repurchase of common shares (876) - (63,250) (64,126) - (64,126) Balance at September 29, 2024 28,319 189 1,363,923 1,392,431 34,872 1,427,303 Winpak Ltd. Condensed Consolidated Statements of Cash Flows (thousands of US dollars) (unaudited) Quarter Ended Year-To-Date Ended September 29 October 1 September 29 October 1 2024 2023 2024 2023 Cash provided by (used in): Operating activities: Net income for the period 39,309 33,824 114,103 112,577 Items not involving cash: Depreciation 13,313 11,930 39,079 35,969 Amortization - deferred income (432) (461) (1,276) (1,300) Amortization - intangible assets 457 397 1,235 1,243 Employee defined benefit plan expenses 756 623 2,112 2,446 Net finance income (5,710) (5,033) (17,816) (12,551) Income tax expense 14,659 11,970 43,287 38,956 Other (2,351) 76 (3,368) (2,178) Cash flow from operating activities before the following 60,001 53,326 177,356 175,162 Change in working capital: Trade and other receivables (6,866) 8,970 (13,997) 14,664 Inventories (5,468) 26,003 (12,788) 46,368 Prepaid expenses 639 (1,530) 798 (5,273) Trade payables and other liabilities 9,618 3,009 20,613 (18,003) Contract liabilities 98 (29) (430) (1,864) Employee defined benefit plan contributions (18) (1,523) (1,192) (2,308) Income tax paid (9,546) (10,407) (44,144) (56,780) Interest received 6,787 6,700 20,865 16,782 Interest paid (1,037) (1,547) (3,365) (4,509) Net cash from operating activities 54,208 82,972 143,716 164,239 Investing activities: Acquisition of property, plant and equipment - net (26,785) (22,921) (101,214) (44,506) Acquisition of intangible assets (6) (70) (38) (356) (26,791) (22,991) (101,252) (44,862) Financing activities: Payment of lease liabilities (409) (234) (1,208) (680) Dividends paid (1,382) (1,472) (4,289) (4,349) Repurchase of common shares - - (62,878) - (1,791) (1,706) (68,375) (5,029) Change in cash and cash equivalents 25,626 58,275 (25,911) 114,348 Cash and cash equivalents, beginning of period 490,333 454,746 541,870 398,673 Cash and cash equivalents, end of period 515,959 513,021 515,959 513,021

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