Enbridge Inc
ENB
Choice Properties Real Estate Investment Trust
CHP.UN
Brookfield Renewable Partners LP
BEP.UN
The Toronto-Dominion Bank
TD
TC Energy Corp
TRP
(Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 1.70%472.8M | 0.33%480M | -13.61%406.9M | -15.71%352.4M | -15.71%352.4M | -4.81%464.9M | -33.47%478.4M | 3.70%471M | -21.34%418.1M | -21.34%418.1M |
-Cash and cash equivalents | 1.70%472.8M | 0.33%480M | -13.61%406.9M | -15.71%352.4M | -15.71%352.4M | -4.81%464.9M | -33.47%478.4M | 3.70%471M | -21.34%418.1M | -21.34%418.1M |
Receivables | 24.85%126.1M | 3.40%124.8M | -58.11%124.4M | -33.04%106.6M | -33.04%106.6M | -27.65%101M | -15.48%120.7M | 223.88%297M | -9.65%159.2M | -9.65%159.2M |
-Accounts receivable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 5,710.00%290.5M | ---- | ---- |
-Taxes receivable | -15.55%40.2M | -36.29%38.1M | 547.69%42.1M | -51.61%48.1M | -51.61%48.1M | -48.65%47.6M | -39.35%59.8M | -91.24%6.5M | 10.81%99.4M | 10.81%99.4M |
-Other receivables | 60.86%85.9M | 42.36%86.7M | --82.3M | -2.17%58.5M | -2.17%58.5M | 13.86%53.4M | 37.78%60.9M | ---- | -30.87%59.8M | -30.87%59.8M |
Inventory | 2.49%1.23B | -3.81%1.14B | -1.86%1.12B | 7.54%1.15B | 7.54%1.15B | 10.09%1.2B | 12.86%1.19B | 9.05%1.14B | -6.87%1.07B | -6.87%1.07B |
Prepaid assets | 13.44%72.6M | 17.96%44M | --52.7M | 38.13%57.6M | 38.13%57.6M | 72.51%64M | 70.32%37.3M | ---- | -14.02%41.7M | -14.02%41.7M |
Restricted cash | 21.35%10.8M | 9.20%9.5M | -5.50%10.3M | -2.97%9.8M | -2.97%9.8M | 8.54%8.9M | 24.29%8.7M | -16.79%10.9M | -11.40%10.1M | -11.40%10.1M |
Current deferred assets | -9.91%110M | 24.97%109.6M | --108.8M | -14.23%107.9M | -14.23%107.9M | 0.08%122.1M | --87.7M | ---- | --125.8M | --125.8M |
Hedging assets-current | -63.40%5.6M | -2.37%16.5M | -52.61%10.9M | -41.18%15M | -41.18%15M | -42.70%15.3M | -64.86%16.9M | -53.25%23M | -15.00%25.5M | -15.00%25.5M |
Total current assets | 2.61%2.03B | -0.55%1.93B | -5.62%1.83B | -2.72%1.8B | -2.72%1.8B | 3.36%1.98B | -18.83%1.94B | -11.36%1.94B | -4.94%1.85B | -4.94%1.85B |
Non current assets | ||||||||||
Net PPE | 0.98%7.97B | 1.08%7.96B | 2.47%7.99B | 2.58%8B | 2.58%8B | -0.02%7.89B | -0.37%7.88B | -5.87%7.79B | 1.80%7.8B | 1.80%7.8B |
-Gross PPE | 6.68%21.46B | 6.72%21.13B | --20.8B | 6.89%20.52B | 6.89%20.52B | 7.00%20.11B | 6.35%19.8B | ---- | -11.31%19.2B | -11.31%19.2B |
-Accumulated depreciation | -10.37%-13.48B | -10.44%-13.17B | ---12.82B | -9.84%-12.52B | -9.84%-12.52B | -12.09%-12.22B | -11.31%-11.92B | ---- | 18.49%-11.4B | 18.49%-11.4B |
Investments and advances | 7.69%75.6M | -34.29%62.1M | -43.31%56.8M | -50.24%61.2M | -50.24%61.2M | -33.46%70.2M | 2.94%94.5M | -13.02%100.2M | 16.81%123M | 16.81%123M |
-Long term equity investment | 118.00%10.9M | 78.43%9.1M | --7.4M | 6.56%6.5M | 6.56%6.5M | -23.08%5M | -23.88%5.1M | ---- | -14.08%6.1M | -14.08%6.1M |
-Financial asset investment | -0.77%64.7M | -40.72%53M | -50.70%49.4M | -53.21%54.7M | -53.21%54.7M | -34.14%65.2M | 5.05%89.4M | -7.39%100.2M | 19.04%116.9M | 19.04%116.9M |
-Including:Available-for-sale securities | -0.77%64.7M | -40.72%53M | -50.70%49.4M | -53.21%54.7M | -53.21%54.7M | -34.14%65.2M | 5.05%89.4M | -7.39%100.2M | 19.04%116.9M | 19.04%116.9M |
Financial assets | ---- | ---- | ---- | ---- | ---- | 0.00%5.4M | -64.66%4.7M | ---- | ---- | ---- |
Non current accounts receivable | -0.75%66.6M | -37.80%64.5M | --64.8M | -47.53%75.4M | -47.53%75.4M | -24.44%67.1M | 15.09%103.7M | ---- | 29.69%143.7M | 29.69%143.7M |
Non current deferred assets | 10.53%12.6M | -32.98%12.6M | 129.09%12.6M | 171.74%12.5M | 171.74%12.5M | 60.56%11.4M | 203.23%18.8M | -14.06%5.5M | -66.67%4.6M | -66.67%4.6M |
Other non current assets | 6.36%601.7M | 19.81%607.2M | -8.96%601.6M | 25.10%589.2M | 25.10%589.2M | 8.33%565.7M | 17.34%506.8M | 71.81%660.8M | 14.35%471M | 14.35%471M |
Total non current assets | 1.32%8.73B | 1.20%8.71B | 1.89%8.72B | 2.31%8.74B | 2.31%8.74B | -0.13%8.61B | 0.77%8.61B | -4.17%8.56B | 0.76%8.54B | 0.76%8.54B |
Total assets | 1.56%10.76B | 0.88%10.64B | 0.50%10.55B | 1.41%10.54B | 1.41%10.54B | 0.51%10.59B | -3.51%10.55B | -5.59%10.5B | -0.30%10.4B | -0.30%10.4B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 892.72%449.7M | 45.63%799.5M | 86.68%999.3M | -83.31%10.1M | -83.31%10.1M | -18.08%45.3M | 869.96%549M | 826.12%535.3M | 1.34%60.5M | 1.34%60.5M |
-Current debt | ---- | ---- | ---- | ---- | ---- | -20.00%32M | 1,228.75%531.5M | 1,238.25%535.3M | -10.00%36M | -10.00%36M |
-Bank in debtedness | --449.7M | --799.5M | --999.3M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Current capital lease obligation | ---- | ---- | ---- | -58.78%10.1M | -58.78%10.1M | -13.07%13.3M | 5.42%17.5M | ---- | 24.37%24.5M | 24.37%24.5M |
Payables | 65.00%320.6M | 25.23%218.4M | -69.44%160.1M | -0.91%206.6M | -0.91%206.6M | 14.23%194.3M | 44.01%174.4M | 374.55%523.9M | 14.06%208.5M | 14.06%208.5M |
-accounts payable | 0.26%114.8M | 5.56%108.3M | -80.91%91.5M | -4.53%113.7M | -4.53%113.7M | -2.55%114.5M | 7.77%102.6M | 412.07%479.3M | 35.65%119.1M | 35.65%119.1M |
-Total tax payable | 157.89%205.8M | 53.34%110.1M | 53.81%68.6M | 3.91%92.9M | 3.91%92.9M | 51.71%79.8M | 177.22%71.8M | 165.48%44.6M | -5.89%89.4M | -5.89%89.4M |
Current accrued expenses | -10.12%283.4M | -13.33%306.3M | --272.8M | -3.04%417.8M | -3.04%417.8M | -16.61%315.3M | -5.25%353.4M | ---- | 6.42%430.9M | 6.42%430.9M |
Current provisions | -12.80%51.1M | -6.55%49.9M | -7.48%47M | -3.94%48.8M | -3.94%48.8M | 63.69%58.6M | -33.99%53.4M | -40.52%50.8M | -43.56%50.8M | -43.56%50.8M |
Pension and other retirement benefit plans | 29.22%149.9M | 31.77%132.3M | --102.5M | ---- | ---- | --116M | --100.4M | ---- | ---- | ---- |
Other current liabilities | 182.14%7.9M | 360.87%10.6M | -26.22%12.1M | 175.00%2.2M | 175.00%2.2M | -26.32%2.8M | -98.60%2.3M | -72.34%16.4M | -80.00%800K | -80.00%800K |
Current liabilities | 72.42%1.26B | 23.04%1.52B | 41.50%1.59B | -8.78%685.5M | -8.78%685.5M | 13.87%732.3M | 54.85%1.23B | 70.38%1.13B | 1.36%751.5M | 1.36%751.5M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -47.99%1.25B | -36.34%1.25B | -42.72%1.25B | -12.79%2.25B | -12.79%2.25B | -3.75%2.4B | -24.51%1.96B | -19.81%2.18B | 58.77%2.58B | 58.77%2.58B |
-Long term debt | -48.18%1.24B | -36.49%1.23B | -42.84%1.23B | -12.68%2.23B | -12.68%2.23B | -3.57%2.38B | -24.37%1.94B | -19.71%2.16B | 60.82%2.56B | 60.82%2.56B |
-Long term capital lease obligation | -25.74%15M | -21.03%15.4M | -31.67%16.4M | -24.24%17.5M | -24.24%17.5M | -20.78%20.2M | -36.27%19.5M | -28.14%24M | -34.19%23.1M | -34.19%23.1M |
Long term provisions | 17.54%903.8M | 11.70%900.4M | 11.86%893.9M | 17.73%889.9M | 17.73%889.9M | 13.39%768.9M | 12.04%806.1M | 8.59%799.1M | -10.85%755.9M | -10.85%755.9M |
Non current deferred liabilities | 15.50%455.4M | 35.66%435.2M | 47.37%458.6M | 49.15%449.7M | 49.15%449.7M | 10.51%394.3M | -10.44%320.8M | -25.71%311.2M | -30.98%301.5M | -30.98%301.5M |
Other non current liabilities | -27.34%93.8M | -33.01%89.3M | -30.56%86.8M | -34.24%82.4M | -34.24%82.4M | -1.60%129.1M | 2.62%133.3M | -14.44%125M | -1.65%125.3M | -1.65%125.3M |
Total non current liabilities | -26.86%2.7B | -17.02%2.67B | -21.31%2.69B | -2.41%3.67B | -2.41%3.67B | 0.89%3.7B | -15.36%3.22B | -15.04%3.42B | 23.89%3.76B | 23.89%3.76B |
Total liabilities | -10.44%3.97B | -5.94%4.19B | -5.75%4.28B | -3.47%4.36B | -3.47%4.36B | 2.83%4.43B | -3.22%4.46B | -2.98%4.54B | 19.47%4.51B | 19.47%4.51B |
Shareholders'equity | ||||||||||
Share capital | 0.13%4.49B | 0.15%4.49B | 0.14%4.49B | 0.72%4.48B | 0.72%4.48B | -4.25%4.48B | -5.33%4.48B | -4.88%4.48B | 0.49%4.45B | 0.49%4.45B |
-common stock | 0.13%4.49B | 0.15%4.49B | 0.14%4.49B | 0.72%4.48B | 0.72%4.48B | -4.25%4.48B | -5.33%4.48B | -4.88%4.48B | 0.49%4.45B | 0.49%4.45B |
Additional paid-in capital | -0.04%10.64B | -0.03%10.64B | -0.01%10.64B | -0.20%10.65B | -0.20%10.65B | -0.27%10.65B | -0.36%10.64B | -0.54%10.64B | 0.03%10.67B | 0.03%10.67B |
Retained earnings | 6.56%-8.42B | 3.81%-8.74B | 3.11%-8.91B | 2.91%-8.98B | 2.91%-8.98B | 1.07%-9.01B | 0.55%-9.08B | -1.58%-9.2B | -8.94%-9.25B | -8.94%-9.25B |
Gains losses not affecting retained earnings | -13.27%-62.3M | -65.70%-68.6M | -72.85%-62.4M | -47.00%-61.3M | -47.00%-61.3M | 20.52%-55M | -71.78%-41.4M | -354.23%-36.1M | -121.81%-41.7M | -121.81%-41.7M |
Total stockholders'equity | 9.66%6.65B | 5.37%6.32B | 4.50%6.15B | 4.46%6.08B | 4.46%6.08B | -1.89%6.06B | -4.12%6B | -7.55%5.89B | -11.51%5.82B | -11.51%5.82B |
Noncontrolling interests | 40.44%146.9M | 37.77%127.3M | 70.78%117.5M | 74.36%102M | 74.36%102M | 85.79%104.6M | 30.88%92.4M | -1.85%68.8M | -14.85%58.5M | -14.85%58.5M |
Total equity | 10.18%6.79B | 5.87%6.45B | 5.27%6.27B | 5.16%6.19B | 5.16%6.19B | -1.09%6.17B | -3.73%6.09B | -7.49%5.96B | -11.54%5.88B | -11.54%5.88B |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.