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SECURE Waste Infrastructure Corp.

SECURE Waste Infrastructure Corp. engages in the waste management and energy infrastructure businesses primarily in Canada and the United States. The company operates through two segments: Waste Management and Energy Infrastructure. The Waste Management segment manages a network of permitted processing, recovery, and disposal infrastructure, optimizing the handling of hazardous and non-hazardous liquids, solids, emulsions, and industrial by-products, enabling recycling of metals and recovered oil, and offering compliant long-term solutions for residual waste; specialty chemical solutions are used to enhance processing efficiency and reduce waste intensity; metal recycling, drilling waste management, water disposal, and landfill disposal; and integrated network includes waste transfer stations, waste processing facilities, produced water pipelines, metals recycling, industrial landfills, generating highly recurring, infrastructure-driven cash flows supported by significant regulatory and capital barriers to entry. The Energy Infrastructure segment consists of crude oil terminals, storage facilities, and pipeline-connected infrastructure that optimize, store, and move crude oil and natural gas liquids to market, including value-added crude oil and NGL marketing and optimization activities such as buying, selling, blending, and storage. This segment also provides collection, processing, recovery, recycling and disposal of waste streams generated by its energy and industrial customers and the gathering, optimization, terminalling and storage of crude oil and natural gas liquids. SECURE Waste Infrastructure Corp. was formerly known as Secure Energy Services Inc. and changed its name to SECURE Waste Infrastructure Corp. in January 2025. The company was founded in 2007 and is based in Calgary, Canada. As of September 1, 2026, SECURE Waste Infrastructure Corp. operates as a subsidiary of GFL Environmental Inc.

Market Cap

CAD 5.4B

Volume

756.6K

Cash and Equivalents

CAD 25.0M

EBITDA

CAD 472.0M

Tax Rate Collected

N/A

Tax Rate Ratio

N/A

Gross Profit

CAD 451.0M

Profit Margin

29.23%

52 Week High

CAD 25.07

52 Week Low

CAD 15.44

Dividend

1.71%

Price / Book Value

6.68

Price / Earnings

41.85

Price / Tangible Book Value

11.11

Enterprise Value

CAD 6.4B

Enterprise Value / EBITDA

12.81

Operating Income

CAD 288.0M

Return on Equity

16.29%

Return on Assets

7.07

Cash and Short Term Investments

CAD 25.0M

Debt

CAD 1.0B

Equity

CAD 804.0M

Revenue

CAD 1.5B

Unlevered FCF

CAD 224.0M

Sector

Oil, Gas and Consumable Fuels

Category

N/A

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