North American Construction Group Ltd. (NOA) › Total AssetsNorth American Construction Group Ltd. (NOA) — Total AssetsAnnual figures by period end, from SEC filings.2011-03-31: 682.96M CAD2012-03-31: 749.99M CAD2012-12-31: 693.36M CAD2013-03-31: 659.94M CAD2013-12-31: 445.64M CAD2014-12-31: 456.58M CAD2015-12-31: 360.18M CAD2016-12-31: 350.08M CAD2017-12-31: 383.64M CAD2018-12-31: 689.80M CAD2019-12-31: 792.65M CAD2020-12-31: 839.06M CAD2021-12-31: 869.28M CAD2022-12-31: 979.51M CAD2023-12-31: 1.55B CAD2024-12-31: 1.69B CAD2025-12-31: 1.82B CAD1.82B CAD2011-03-31Total Assets (CAD)2025-12-31Period endedTotal AssetsChange YoYSource filing2025-12-311.82B CAD+7.4%2026-03-12Balance as of period end2024-12-311.69B CAD+9.6%2026-03-12Balance as of period end2023-12-311.55B CAD+57.9%2025-03-20Balance as of period end2022-12-31979.51M CAD+12.7%2024-03-13Balance as of period end2021-12-31869.28M CAD+3.6%2023-02-15Balance as of period end2020-12-31839.06M CAD+5.9%2022-02-16Balance as of period end2019-12-31792.65M CAD+14.9%2021-02-17Balance as of period end2018-12-31689.80M CAD+79.8%2020-02-19Balance as of period end2017-12-31383.64M CAD+9.6%2019-02-25Balance as of period end2016-12-31350.08M CAD-2.8%2018-02-13Balance as of period end2015-12-31360.18M CAD-21.1%2017-02-14Balance as of period end2014-12-31456.58M CAD+2.5%2016-02-16Balance as of period end2013-12-31445.64M CAD—2015-02-17Balance as of period end2013-03-31659.94M CAD—2013-06-11Balance as of period end2012-12-31693.36M CAD—2014-02-19Balance as of period end2012-03-31749.99M CAD+9.8%2013-06-11Balance as of period end2011-03-31682.96M CAD—2012-06-07Balance as of period endOther metrics: RevenueCost of RevenueGross ProfitOperating IncomeNet IncomeEPS (Diluted)Total LiabilitiesShareholders' EquityCash & EquivalentsOperating Cash FlowCapital ExpendituresShares OutstandingDividends Per ShareWeighted Average Diluted SharesEPS (Basic)