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Canadian Uti Aa Cum Red Sec Prf (CU_pd)

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18.32 0.00    0.00%
15:59:59 - Closed. Currency in CAD ( Disclaimer )
  • Volume: 3,600
  • Bid/Ask: 18.32 / 18.43
  • Day's Range: 18.32 - 18.45
Type:  Equity
Market:  Canada
Canadian Uti Aa Cum Red Sec Prf 18.32 0.00 0.00%

CU_pd Financial Summary

 
A brief financial summary of Canadian Uti Aa Cum Red Sec Prf as well as the most significant critical numbers from each of its financial reports. In addition, some financial ratios derived from these reports are featured. Users can opt to see 4 periods of either annual or quarterly information.

Canadian Utilities Limited reported earnings results for the full year ended December 31, 2023. For the full year, the company reported sales was CAD 3,796 million compared to CAD 4,048 million a year ago. Net income was CAD 707 million compared to CAD 632 million a year ago. Basic earnings per share from continuing operations was CAD 2.33 compared to CAD 2.07 a year ago. Diluted earnings per share from continuing operations was CAD 2.33 compared to CAD 2.06 a year ago.

AnnualQuarterly  
InvestingPro Advanced Financial Summary
TTM = Trailing Twelve Months
MRQ = Most Recent Quarter

CU_pd Income Statement

Gross margin TTM 67.73%
Operating margin TTM 27.27%
Net Profit margin TTM 18.62%
Return on Investment TTM 4.81%
 Total Revenue  Net Income
Period Ending: Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023
Total Revenue 974 812 879 1131
Operating Income 101 252 232 460
Net Income 185 125 105 292

CU_pd Balance Sheet

Quick Ratio MRQ 0.81
Current Ratio MRQ 1.01
LT Debt to Equity MRQ 186.26%
Total Debt to Equity MRQ 197.1%
 Total Assets  Total Liabilities
Period Ending: Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023
Total Assets 23158 22846 22601 22891
Total Liabilities 16002 15862 15439 15719
Total Equity 7156 6984 7162 7172

CU_pd Cash Flow Statement

Cash Flow/Share TTM 6.58
Revenue/Share TTM 14.03
Operating Cash Flow  35.44%
 Cash  Net Change in Cash
Period Ending: Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023
Period Length: 0 Months 0 Months 0 Months 0 Months
Cash From Operating Activities 504 394 342 540
Cash From Investing Activities -362 -358 -401 -1132
Cash From Financing Activities -353 128 -246 452
Net Change in Cash -210 164 -304 -140
* In Millions of CAD (except for per share items)
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