Canadian Utilities Limited 2ND PFD SER DD% (CNUTF)

USD 12.72

(0.0%)

Annual Cash Flows

(In CAD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 1 Billion 1.28 Billion 1.05 Billion 971.74 Million 678.61 Million 870 Million
Net Income 533.43 Million 466.22 Million 310.7 Million 335.16 Million 733.37 Million 641 Million
Depreciation & Amortization 547.01 Million 474.34 Million 514.68 Million 478.8 Million 448.81 Million 638 Million
Deferred income taxes 143.35 Million 123.19 Million 93.29 Million 86.34 Million -8.48 Million 225 Million
Stock-based compensation - - - - - -
Change in working capital -76.2 Million 78.19 Million 37.94 Million 2.35 Million -338.53 Million -109 Million
Other non-cash items 977.83 Million -812.94 Million -937.65 Million -894.03 Million -1.05 Billion -303 Million
Investing Cash Flow -1.69 Billion -926.55 Million -997.73 Million -710.36 Million -132.63 Million -1.06 Billion
Investments in PPE -1.01 Billion -1 Billion -965.32 Million -698.58 Million -857.52 Million -1.13 Billion
Acquisitions -519.09 Million 6.63 Million -42.69 Million 4.7 Million 713.32 Million -76 Million
Investment purchases -152.4 Million -5.9 Million -21.34 Million -7.06 Million - -6 Million
Sales/Maturities of investments -2.00 - - - - -
Other Investing Activities -18.1 Million 82.62 Million 31.62 Million -9.41 Million 11.56 Million -76 Million
Financing Cash Flow 327.45 Million -391.71 Million -73.52 Million -416.79 Million -239.05 Million 367 Million
Debt repayment -755.25 Million -16.96 Million -395.3 Million -36.1 Million -82.51 Million -728 Million
Dividends payments -403.65 Million -535 Million -541 Million -544 Million -529 Million -432 Million
Common Stock Repurchased -7.54 Million -5.9 Million -179.46 Million -9.41 Million -9.25 Million -
Common Stock Issuance 13.58 Million 737.7 Thousand 158.91 Million -8.63 Million 2.31 Million 1 Million
Other Financing Activities 1.48 Billion 25.08 Million 770.04 Million 64.36 Million 258.33 Million 740 Million
Accounts receivables 84.5 Million -114.34 Million -83.01 Million -10.2 Million -55.52 Million -86 Million
Accounts payables -83.74 Million 194.75 Million 120.96 Million 10.98 Million -219 Million 142 Million
Inventory -30.93 Million -2.21 Million 5.53 Million 1.56 Million -2.31 Million 7 Million
Other working capital -46.02 Million -5 Million -5.53 Million 1.00 -61.69 Million -33 Million
Cash at beginning of period 514.91 Million 593.74 Million 609.1 Million 753.42 Million 686.77 Million 418 Million
Cash at end of period 156.18 Million 514.91 Million 593.74 Million 609.1 Million 753.42 Million 599 Million
Capital Expenditure -1.01 Billion -1 Billion -965.32 Million -698.58 Million -857.52 Million -1.13 Billion
Effect of forex changes on cash 1 Million -4 Million -6 Million -1 Million -20 Million 9 Million
Net cash flow / Change in cash -358.73 Million -78.82 Million -15.36 Million -144.31 Million 66.64 Million 181 Million
Free Cash Flow -9.05 Million 272.94 Million 88.54 Million 273.15 Million -178.9 Million -266 Million

Cash Flow Charts