Enbridge Inc.

TSX:ENB.TO

57.74 (CAD) • At close October 17, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) CAD.

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,9018612864526485184802,1171,0151,2617561,776420242327541.7166.7139.699153.9105.5104.140.77467.00153.53124.92351.32213.84131.7712.344225.311254.673625.6075.45225.36221.952
Kortetermijnbeleggingen 65660640022802818316000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 5,9018612864526485184802,1171,0151,2617561,776420242327541.7166.7139.699153.9105.5104.140.77467.00153.53124.92351.32213.84131.7712.344225.311254.673625.6075.45225.36221.952
Nettovorderingen 4,8427,3666,1815,0016,5236,0987,1004,9925,4374,2624,3394,0263,1362,7062,4842,322.52,388.72,045.61,900.31,451.8991,138.799817.5011,419.101747.5678.53611.3436.598361.107278.838576.93943.9536.74557.083137.455119.745112.742
Voorraad 1,4792,2551,6701,5361,2991,3391,5281,2331,1111,1481,115779739813784844.7709.4868.91,021.4791.599809.8583.801665.6519.801375.145357.74309.936279.019293.0190002.54217.51516.90821.952
Overige vlottende activa 1,4706042593613556171076621656754701000000-0.0010.0010-0.002122.999-0.002-0-0000.136387.99375.192103.6240000
Totaal vlottende activa 14,39912,1478,9597,3508,8258,5729,2158,4107,5978,2016,9506,6004,2953,7613,5953,708.93,264.83,054.23,075.5992,3492,052.71,4422,281.71,334.31,107.2051,093.963797.856653.967603.763977.276344.453395.041685.232160.422162.015156.645
Niet-vlottende activa:
Materiële vaste activa, netto 104,641104,460100,06794,57193,72394,54090,71164,28464,43453,83042,27933,31822,62320,33218,85016,389.612,597.611,264.69910,466.69,066.58,530.96,947.67,546.87,1606,770.6896,364.2415,215.0114,807.0444,377.6934,051.9011,126.9531,113.4141,062.632,965.2012,889.4042,786.924
Goodwill 31,84832,44032,77532,70033,15334,45934,45778804834454191,024385372389.2388394.9000000000000000000
Immateriële activa 3,5374,0184,0082,0802,1732,3723,2671,5731,3481,1661,004817600478488225.3212241.5619.8165.400330.40000000124.967124.9840000
Goodwill en immateriële activa 35,38536,45836,78334,78035,32636,83137,7241,6511,4281,6491,4491,2361,624863860614.5600636.4619.8165.400330.40000000124.967124.9840000
Langetermijnbeleggingen 16,79315,93613,32413,81816,52816,70716,6446,8367,0085,4084,2123,3862,5402,1982,3122,491.800000000000000000000
Belastingvorderingen 3414724887701,0001,3741,0901,17083956116104180127178.2186.7200.1134.901145192.5209.001141.9990000000000000
Overige niet-vlottende activa 8,75810,1359,2438,9997,8678,8816,7093,4813,3583,2082,6622,6223,2202,8862,4251,318.43,258.3013,223.92,9143,179.23,047.24,388.7992,826.82,073.9011,330.295889.009659.328300.123195.528316.87570.16230.51522.53352.08255.12454.76
Totaal niet-vlottende activa 165,918167,461159,905152,938154,444158,333152,87877,42277,06764,65650,61840,57230,04826,35924,57420,992.516,642.615,325.114,135.30112,556.09911,770.611,545.410,8469,233.9018,100.9847,253.2515,874.3395,107.1674,573.2214,368.7751,322.0811,268.9131,085.1633,017.2832,944.5282,841.685
Totaal activa 180,317179,608168,864160,276163,269166,905162,09385,83284,66472,85757,56847,17234,34330,12028,16924,701.419,907.418,379.317,210.914,905.113,823.312,987.413,127.710,568.29,208.1898,347.2146,672.1945,761.1355,176.9845,346.0511,666.5341,663.9541,770.3953,177.7063,106.5432,998.33
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,3345,3404,5603,5194,5574,6445,2927,4177,3994943465,0523,7222,6882,4632,411.52,213.81,723.81,624.8011,275.9894.1714.1805.201420.7494.647540.867493.352400.439308.427309.58152.687059.626000
Kortlopende schulden 6,4848,0417,6794,0785,3024,2834,3155,0742,9502,5523,5231,7141,0245501,2221,593.11,211.91,4051,544.21,384.71,358.7899.82,221.1261.3155.382400.464398.856446.759401.418432.743.971104.387300.092119.70877.12876.235
Belastingschulden 596683478622890801032137655517620628300000000000000000000000
Uitgestelde opbrengsten 1,3131,0565,2735,4865,2318013,8471383245,2745,755196-88000000000000000000000000
Overige kortlopende verplichtingen 5,3045,8647178969205,1271,1703371411,1811,104107994117104101.989.195.181.69983.897102.6173.999577.899260.417345.356480.2157.736178.89354.28522.2455.6928.773186.753210.191138.75
Totaal kortlopende verplichtingen 17,43520,30118,22913,97916,01014,85514,62412,96610,8149,50110,7287,0694,8603,3553,7894,106.53,514.83,223.93,250.72,744.42,349.81,716.53,200.2991,259.9910.4461,286.6871,372.4091,004.934888.737796.60578.899160.076388.491306.461287.319214.984
Langlopende verplichtingen:
Langetermijnschulden 74,71572,93967,96162,81959,66160,32760,86536,49439,54033,42322,35720,20315,20814,62212,97411,628.99,237.48,6767,8996,718.55,995.56,040.3015,922.85,592.6995,284.8674,502.3223,166.4052,939.0162,553.8593,458.409597.035660.394543.2171,003.3641,053.1561,073.849
Uitgestelde opbrengsten niet-vlottend 0000004,0673,3922,1415,8003,6981,000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 15,03113,78111,68910,3329,8679,4549,2956,0365,9154,8422,9252,6012,6962,4472,2111,290.8975.61,062.51,009797.3829837.4722.8756.6254.485380.495374.267373.578373.057398.794399.921373.554366.767682.751656.514629.563
Overige niet-vlottende verplichtingen 8,6539,1897,6178,7838,3248,8347,5104,9816,0564903502,5411,8921,4731,207259253.991.191.699151.799-0.0010118.59969.201157.841116.25459.75747.55426.86112.344127.48211.06213.17351.61844.35488.284
Totaal niet-vlottende verplichtingen 98,39995,90987,26781,93477,85278,61581,73750,90353,65244,55529,33026,34519,79618,54216,39213,178.710,466.99,829.5998,999.6997,667.5996,824.56,877.7016,764.1996,418.55,697.1934,999.0713,600.4293,360.1482,953.7773,869.5471,124.4371,045.01923.1571,737.7331,754.0241,791.696
Totaal passiva 115,834116,210105,49695,91393,86293,47096,36163,86964,46654,05640,05833,41424,65621,89720,18117,285.213,981.713,053.512,250.39910,411.9999,174.38,594.2019,964.4997,678.46,607.6396,285.7594,972.8384,365.0823,842.5144,666.1521,203.3361,205.0861,311.6482,044.1942,041.3432,006.681
Eigen vermogen:
Preferente aandelen 6,8186,8187,7477,7477,7477,7477,7477,2556,5156,5155,1413,7071,056125125125125125125.001125657.4658.7464.701465.4466.146125.0770000000000
Gewone aandelen 69,18064,76064,79964,76864,74664,67750,73710,4927,3916,6695,7444,73203,6833,3793,19400000000000000000000
Ingehouden winsten -17,115-15,486-10,989-9,995-6,314-5,538-2,468-7161421,5712,5503,4644,9914,7344,4003,383.42,537.32,322.72,098.21,840.91,511.41,128.1812.3581.3503.038407.585336.669266.548212.163198.064234.578233.566237.694689.247624.435573.014
Overige gereserveerde algehele resultaten 2,3033,520-1,096-1,401-2722,672-9731,0581,632-435-599-1,799-1,094-882-54332.8-439.301-271.5-297.5-270.1-282.7-123.401-120.799-135.9-145.833-1,706.966-1,445.604-1,263.396-1,096.673-892.552-800.238-745.836-681.997-1,384.642-1,235.669-1.074
Overige totale aandeelhoudersvermogen 268275365248136-883,0923,2973,2182,4666603963,888-95-100-116.43,052.2012,434.42,343.82,282.42,239.92,169.0011,875.8991,852.5991,677.2283,235.7592,808.2922,392.9011,980.0931,140.8331,028.859971.138903.0511,800.9511,650.376419.709
Totaal eigen vermogen van aandeelhouders 61,45459,88760,82661,36766,04369,47058,13521,38618,89816,78613,49610,5008,8417,5657,2616,618.85,275.24,610.64,269.5013,978.24,1263,832.43,032.1012,763.42,500.5792,061.4551,699.3571,396.0531,095.582446.346463.198458.868458.7471,105.5561,039.143991.649
Totaal eigen vermogen 64,48363,39863,36864,36369,40773,43565,73221,96320,19818,80117,51013,7589,6878,2237,9887,416.25,925.75,325.84,960.5014,493.1014,6494,393.23,163.2012,889.8012,600.552,061.4551,699.3571,396.0531,334.47679.899463.198458.868458.7471,133.5111,065.2991.649
Totaal passiva en aandeelhoudersvermogen 180,317179,608168,864160,276163,269166,905162,09385,83284,66472,85757,56847,17234,34330,12028,16924,701.419,907.418,379.317,210.914,905.113,823.312,987.413,127.710,568.29,208.1898,347.2146,672.1945,761.1355,176.9845,346.0511,666.5341,663.9541,770.3953,177.7063,106.5432,998.33