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Cascades Inc

CAS.TO

Latest Trade

11.80CAD

Change

0.04(+0.34%)

Volume

36,849

Today's Range

11.76

 - 

11.85

52 Week Range

7.55

 - 

13.44

As of on the Toronto Stock Exchange ∙ Minimum 15 minute delay

Latest Developments

Cascades Upsizes And Prices Offering Of Senior Notes

Nov 13 (Reuters) - Cascades Inc <CAS.TO>::CASCADES INC. UPSIZES AND PRICES OFFERING OF US$350 MILLION SENIOR NOTES DUE 2026, US$300 MILLION SENIOR NOTES DUE 2028 AND CDN$175 MILLION SENIOR NOTES DUE 2025.CASCADES INC - PRICED ITS PRIVATE PLACEMENT OF US$350 MILLION AGGREGATE PRINCIPAL AMOUNT OF 5.125% SENIOR NOTES DUE 2026.CASCADES INC - PRICED ITS PRIVATE PLACEMENT US$300 MILLION AGGREGATE PRINCIPAL AMOUNT OF 5.375% SENIOR NOTES DUE 2028.CASCADES INC - PRICED ITS PRIVATE PLACEMENT CDN$175 MILLION AGGREGATE PRINCIPAL AMOUNT OF 5.125% SENIOR NOTES DUE 2025.CASCADES INC - US$350 MILLION 2026 NOTES WILL BE ISSUED AT A PRICE OF 100% OF THEIR PRINCIPAL AMOUNT.CASCADES INC - US$300 MILLION 2028 NOTES WILL BE ISSUED AT A PRICE OF 100% OF THEIR PRINCIPAL AMOUNT.CASCADES INC - CDN$175 MILLION NOTES WILL BE ISSUED AT A PRICE OF 100% OF THEIR PRINCIPAL AMOUNT.

Cascades Announces Proposed Private Offering Of Us$300 Million Senior Notes Due 2026

Nov 12 (Reuters) - Cascades Inc <CAS.TO>::CASCADES INC. ANNOUNCES PROPOSED PRIVATE OFFERING OF US$300 MILLION SENIOR NOTES DUE 2026, US$300 MILLION SENIOR NOTES DUE 2028 AND CDN$175 MILLION SENIOR NOTES DUE 2025.CASCADES - TO USE NET PROCEEDS TO REDEEM ALL OF ITS OUTSTANDING $400 MILLION AGGREGATE PRINCIPAL AMOUNT OF 5.50% SENIOR NOTES DUE 2022.CASCADES INC - TO USE NET PROCEEDS TO REDEEM OUTSTANDING CDN$250 MILLION OF 5.50% SENIOR NOTES DUE 2021.CASCADES - TO USE NET PROCEEDS TO REPAY CERTAIN AMOUNTS OUTSTANDING UNDER ITS REVOLVING CREDIT FACILITY.

Cascades Q3 Adjusted Earnings Per Share C$0.30

Nov 8 (Reuters) - Cascades Inc <CAS.TO>::CASCADES CONTINUES ITS SOLID PERFORMANCE IN THE THIRD QUARTER OF 2019; POSITIVE OUTLOOK IN TISSUE SUPPORTED BY OPERATIONAL IMPROVEMENTS AND RECENT STRATEGIC INITIATIVES.Q3 ADJUSTED EARNINGS PER SHARE C$0.30.Q3 EARNINGS PER SHARE C$0.74.Q3 SALES C$1.264 BILLION VERSUS REFINITIV IBES ESTIMATE OF C$1.25 BILLION.Q3 EARNINGS PER SHARE ESTIMATE C$0.33 -- REFINITIV IBES DATA.CASCADES - BENEFITED FROM FAVOURABLE RAW MATERIAL PRICING, CUSTOMARY SEASONAL DEMAND LEVELS ACROSS PLATFORMS IN QUARTER.CASCADES- EUROPEAN BOXBOARD PERFORMANCE EXPECTED TO SLIGHTLY FALL SEQUENTIALLY BUT IMPROVE YOY DUE TO LOWER RAW MATERIAL COSTS, MODEST RECOVERY IN VOLUME.CASCADES - ANTICIPATE STABLE RESULTS IN SPECIALTY PRODUCTS YEAR-OVER-YEAR AND SLIGHT DECREASE SEQUENTIALLY IN QUARTER.CASCADES - EXPECT Q4 TO IMPROVE YOY.

Cascades Q2 Adjusted Earnings Per Share C$0.28

Cascades Inc <CAS.TO>::CASCADES ANNOUNCES RECORD SALES AND ADJUSTED OIBD FOR THE SECOND QUARTER OF 2019; QUARTERLY DIVIDEND INCREASED FROM $0.04 TO $0.08 PER SHARE.Q2 ADJUSTED EARNINGS PER SHARE C$0.28.Q2 EARNINGS PER SHARE C$0.33.Q2 SALES C$1.275 BILLION VERSUS REFINITIV IBES ESTIMATE OF C$1.27 BILLION.Q2 EARNINGS PER SHARE ESTIMATE C$0.33 -- REFINITIV IBES DATA.

Cascades Announces Agreement For The Acquisition Of Orchids Paper Products Assets

July 1 (Reuters) - Cascades Inc <CAS.TO>::CASCADES ANNOUNCES AGREEMENT FOR THE ACQUISITION OF ORCHIDS PAPER PRODUCTS ASSETS.CASCADES INC - CASCADES WILL PAY A CASH CONSIDERATION OF US$207 MILLION, FINANCED BY COMPANY'S CREDIT FACILITIES..CASCADES INC - ACQUIRED ASSETS OF ORCHIDS PAPER PRODUCTS ARE EXPECTED TO GENERATE ANNUAL EBITDA OF APPROXIMATELY US$45 MILLION BEGINNING IN 2021.CASCADES - ENTERED AGREEMENT FOR ACQUISITION OF SUBSTANTIALLY ALL OF ASSETS OF ORCHIDS PAPER PRODUCTS CO FOLLOWING U.S. BANKRUPTCY COURT APPROVAL.

Cascades Announces Winning Bid At Auction For The Acquisition Of Orchids Paper Products Assets

June 28 (Reuters) - Cascades Inc <CAS.TO>::CASCADES ANNOUNCES WINNING BID AT AUCTION FOR THE ACQUISITION OF ORCHIDS PAPER PRODUCTS ASSETS.CASCADES INC - TRANSACTION WILL BE COMPLETED FOR A CASH CONSIDERATION OF US$207 MILLION.CASCADES INC - ORCHIDS PAPER HAS INVESTED MORE THAN US$240 MILLION IN ITS ASSETS AND STRATEGIC SUPPLY ARRANGEMENT WITH FABRICA OVER PAST FIVE YEARS..CASCADES INC - CASCADES AGREEMENT IS SUBJECT TO APPROVAL BY BANKRUPTCY COURT AT A HEARING SCHEDULED FOR JULY 1.

Cascades Announces The End Of Its Operation At Its Trois-Rivières Plant

Cascades Inc <CAS.TO>::CASCADES ANNOUNCES THE END OF ITS OPERATION AT ITS TROIS-RIVIÈRES PLANT.CASCADES INC - WILL DISCONTINUE MANUFACTURING FELT BACKING FOR FLOORING AT ITS LUPEL PLANT IN TROIS‑RIVIÈRES, QUÉBEC..CASCADES INC - 35 EMPLOYEES WILL BE AFFECTED BY RESULTING PLANT CLOSURE.CASCADES INC - PLANT CLOSURE, IS EXPECTED ON OR ABOUT JULY 1, 2019..CASCADES INC - WILL BE PERMANENTLY WITHDRAWING FROM FELT PRODUCTION FOR FLOOR COVERING MARKET.CASCADES INC - IN COMING WEEKS, COMPANY WILL OFFER STAFF IMPACTED BY CLOSURE POSSIBILITY OF RELOCATING TO ITS OTHER BUSINESS UNITS.

Cascades Renews Its Normal Course Issuer Bid

Cascades Inc <CAS.TO>::CASCADES RENEWS ITS NORMAL COURSE ISSUER BID.CASCADES - NOTICE WILL ENABLE CO TO ACQUIRE UP TO 1.9 MILLION SHARES WHICH REPRESENTS ABOUT 2% OF ISSUED & OUTSTANDING COMMON SHARES AS OF MARCH 7.

Cascades Q4 Adjusted Earnings Per Share C$0.00

Feb 28 (Reuters) - Cascades Inc <CAS.TO>::CASCADES ANNOUNCES RESULTS FOR THE FOURTH QUARTER AND FULL YEAR 2018.Q4 ADJUSTED EARNINGS PER SHARE C$0.00.Q4 LOSS PER SHARE C$0.69.Q4 EARNINGS PER SHARE ESTIMATE C$0.30 -- REFINITIV IBES DATA.QUARTERLY SALES OF C$1,196 MILLION VERSUS C$1,082 MILLION.

Cascades Increases Financial Flexibility With A 7-Year Term Loan Facility

Dec 21 (Reuters) - Cascades Inc <CAS.TO>::CASCADES INCREASES FINANCIAL FLEXIBILITY WITH THE ADDITION OF A SEVEN YEAR TERM LOAN FACILITY.CASCADES INC - TERM LOAN PROVIDES COMPANY WITH INCREASED FINANCIAL FLEXIBILITY AND WILL REDUCE FINANCING COSTS.CASCADES INC - HAS INCREASED ITS AUTHORIZED CREDIT FACILITY TO ABOUT CAN$1 BILLION TO INCORPORATE ADDITION OF A US$175 MILLION 7-YEAR TERM LOAN.CASCADES-TERM LOAN, WHICH CAN BE REPAID AT ANY TIME, WILL BE USED TO REPAY CERTAIN OF CO'S OUTSTANDING BORROWINGS UNDER ITS EXISTING CREDIT FACILITY.

Quote and financial data from Refinitiv. Fund performance data provided by Lipper. All quotes delayed a minimum of 15 minutes.

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