CCL Industries Cash Flow from Financial Activities 2025-2025 | CCDBF

CCL Industries annual/quarterly cash flow from financial activities history and growth rate from 2025 to 2025. Cash flow from financial activities can be defined as the net amount of cash transactions used in funding activities
  • CCL Industries cash flow from financial activities for the quarter ending December 31, 2025 was $0M, a 100% decline year-over-year.
  • CCL Industries cash flow from financial activities for the twelve months ending December 31, 2025 was $-0.353B, a 34.96% decline year-over-year.
  • CCL Industries annual cash flow from financial activities for 2025 was $0B, a 100% decline from 2024.
  • CCL Industries annual cash flow from financial activities for 2024 was $-0.31B, a 0% decline from .
  • CCL Industries annual cash flow from financial activities for was $0B, a 0% decline from .
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CCL Industries Annual Cash Flow Financial
(Millions of US $)
2025 N/A
2024 $-310
Sector Industry Market Cap Revenue
Industrial Products Commercial Printing Services $10.356B $5.485B
CCL Industries Inc. manufactures and sells labels, consumer printable media products, technology-driven label solutions, polymer banknote substrates, and specialty films. It operates through CCL, Avery, Checkpoint and Innovia segments. CCL Industries Inc. is based in Toronto, Canada.
Stock Name Country Market Cap PE Ratio
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Research Solutions (RSSS) United States $0.079B 20.08
Samfine Creation Holdings Group (SFHG) $0.010B 0.00