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 | -9.24%3.08M | -32.38%2.77M | -49.48%2.59M | -31.15%3.05M | -31.15%3.05M | 9.63%3.4M | 64.81%4.09M | -1.19%5.13M | 141.19%4.43M | 141.19%4.43M |
-Cash and cash equivalents | -10.03%2.64M | -38.48%2.32M | -55.40%2.15M | -36.66%2.6M | -36.66%2.6M | -1.64%2.93M | 59.59%3.78M | -5.16%4.81M | 139.24%4.11M | 139.24%4.11M |
-Short term investments | -4.30%445.42K | 40.07%445.42K | 40.07%445.42K | 40.07%445.42K | 40.07%445.42K | 294.42%465.42K | 169.49%318K | 169.49%318K | 169.49%318K | 169.49%318K |
Receivables | -12.24%4.21M | -18.02%3.54M | -0.02%3.79M | -0.45%4.15M | -0.45%4.15M | -4.67%4.79M | -17.66%4.32M | -4.16%3.79M | -5.64%4.17M | -5.64%4.17M |
-Accounts receivable | 5.00%4.21M | -4.26%3.49M | 14.24%3.55M | 7.03%3.66M | 7.03%3.66M | 0.45%4.01M | -10.52%3.65M | 8.86%3.11M | 8.54%3.42M | 8.54%3.42M |
-Taxes receivable | ---- | ---- | ---- | --0 | --0 | --90.14K | --0 | --0 | --171.5K | --171.5K |
-Other receivables | ---- | -92.71%49.01K | -64.83%240.24K | -14.92%497.61K | -14.92%497.61K | -32.96%697.4K | -42.55%672.15K | -37.92%683.16K | -54.11%584.86K | -54.11%584.86K |
Inventory | 29.68%8.2M | -22.55%5.57M | -8.23%5.95M | -7.26%6.17M | -7.26%6.17M | -17.94%6.32M | -4.51%7.19M | -13.39%6.48M | -10.67%6.66M | -10.67%6.66M |
Prepaid assets | 21.73%1.59M | 19.31%1.7M | -17.01%1.71M | -27.54%1.23M | -27.54%1.23M | -33.67%1.3M | -46.62%1.43M | -13.60%2.06M | -28.44%1.7M | -28.44%1.7M |
Total current assets | 7.95%17.07M | -20.26%13.59M | -19.60%14.03M | -13.85%14.6M | -13.85%14.6M | -11.12%15.82M | -5.04%17.04M | -8.16%17.46M | 5.42%16.95M | 5.42%16.95M |
Non current assets | ||||||||||
Net PPE | -40.26%1.95M | -38.44%2.19M | -36.11%2.46M | -34.49%2.72M | -34.49%2.72M | -26.37%3.27M | -24.85%3.57M | -23.42%3.86M | -15.22%4.16M | -15.22%4.16M |
-Gross PPE | -12.52%7.42M | -12.91%7.37M | -12.97%7.35M | -13.25%7.32M | -13.25%7.32M | 0.78%8.48M | 0.66%8.46M | 0.61%8.45M | 5.91%8.44M | 5.91%8.44M |
-Accumulated depreciation | -4.87%-5.47M | -5.67%-5.18M | -6.48%-4.89M | -7.39%-4.6M | -7.39%-4.6M | -31.08%-5.21M | -33.69%-4.9M | -36.65%-4.59M | -39.73%-4.28M | -39.73%-4.28M |
Non current prepaid assets | -5.98%434.04K | -55.21%434.04K | -55.21%434.04K | -56.03%434.04K | -56.03%434.04K | -1.31%461.66K | 107.44%969.14K | 70.77%968.99K | -15.90%987.22K | -15.90%987.22K |
Goodwill and other intangible assets | -45.53%4.82M | -44.71%5.23M | -43.98%5.64M | -43.33%6.06M | -43.33%6.06M | -40.17%8.86M | -38.94%9.47M | -37.87%10.08M | -36.88%10.69M | -36.88%10.69M |
-Goodwill | 0.00%2.53M | 0.00%2.53M | 0.00%2.53M | 0.00%2.53M | 0.00%2.53M | -40.88%2.53M | -40.88%2.53M | -40.88%2.53M | -40.88%2.53M | -40.88%2.53M |
-Other intangible assets | -63.75%2.29M | -61.02%2.7M | -58.73%3.11M | -56.77%3.53M | -56.77%3.53M | -39.88%6.33M | -38.21%6.94M | -36.79%7.55M | -35.53%8.16M | -35.53%8.16M |
Non current deferred assets | 27.52%1.54M | 27.52%1.54M | 27.52%1.54M | 27.52%1.54M | 27.52%1.54M | 231.32%1.21M | 231.32%1.21M | 231.32%1.21M | 231.32%1.21M | 231.32%1.21M |
Total non current assets | -36.57%8.75M | -38.17%9.4M | -37.41%10.08M | -36.89%10.75M | -36.89%10.75M | -31.29%13.79M | -27.86%15.21M | -27.39%16.11M | -27.10%17.04M | -27.10%17.04M |
Total assets | -12.79%25.82M | -28.71%22.99M | -28.15%24.12M | -25.40%25.36M | -25.40%25.36M | -21.81%29.61M | -17.36%32.24M | -18.52%33.56M | -13.85%33.99M | -13.85%33.99M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -6.04%3.49M | -70.53%3.31M | -43.80%3.38M | -44.53%3.44M | -44.53%3.44M | -65.59%3.71M | 3.63%11.23M | -35.80%6.01M | 1.00%6.2M | 1.00%6.2M |
-Current debt | 7.48%2.4M | -78.21%2.12M | -53.46%2.11M | -55.46%2.12M | -55.46%2.12M | -76.23%2.23M | 3.14%9.74M | -43.14%4.54M | -1.92%4.76M | -1.92%4.76M |
-Current capital lease obligation | -26.33%1.09M | -20.26%1.19M | -13.88%1.26M | -8.46%1.32M | -8.46%1.32M | 4.86%1.49M | 6.92%1.49M | 7.03%1.47M | 12.02%1.44M | 12.02%1.44M |
Payables | 67.21%9.49M | -9.00%5.8M | 22.63%6.77M | 11.52%6.11M | 11.52%6.11M | -7.83%5.68M | -20.20%6.37M | -46.38%5.52M | -21.12%5.48M | -21.12%5.48M |
-accounts payable | 66.49%8.59M | -15.40%5.1M | 17.50%6.06M | 6.62%5.41M | 6.62%5.41M | -17.53%5.16M | -25.39%6.03M | -44.54%5.16M | -15.02%5.08M | -15.02%5.08M |
-Total tax payable | 107.29%703.53K | 51.50%510.62K | 58.64%566.77K | 74.67%443.21K | 74.67%443.21K | 429.62%339.39K | 424.70%337.05K | -63.69%357.26K | -73.66%253.75K | -73.66%253.75K |
-Other payable | 11.96%200.82K | 3,186.89%186.6K | 2,237.46%143.96K | 72.16%250.76K | 72.16%250.76K | 2,128.95%179.36K | -30.20%5.68K | -48.27%6.16K | 2,947.11%145.65K | 2,947.11%145.65K |
Current deferred liabilities | -63.01%1.4M | -60.21%1.57M | -65.38%1.58M | -39.12%2.23M | -39.12%2.23M | 37.75%3.79M | 2.41%3.95M | 13.16%4.57M | -42.28%3.67M | -42.28%3.67M |
Other current liabilities | ---- | ---- | ---- | ---- | ---- | 4,460,000.00%44.6K | --6.83K | --6.68K | ---- | ---- |
Current liabilities | 8.73%14.38M | -50.47%10.68M | -27.18%11.73M | -23.24%11.78M | -23.24%11.78M | -32.87%13.23M | -4.94%21.56M | -32.01%16.11M | -21.06%15.34M | -21.06%15.34M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -15.71%8.51M | 118.82%9.04M | -13.51%8.65M | -10.97%9.32M | -10.97%9.32M | 73.43%10.1M | -35.98%4.13M | 41.35%10M | 43.09%10.47M | 43.09%10.47M |
-Long term debt | -4.15%8.01M | 309.23%8.3M | 1.50%7.63M | 5.26%8.01M | 5.26%8.01M | 222.23%8.35M | -29.13%2.03M | 140.54%7.52M | 124.70%7.61M | 124.70%7.61M |
-Long term capital lease obligation | -71.05%504.97K | -64.63%744.23K | -58.96%1.02M | -54.18%1.31M | -54.18%1.31M | -46.00%1.74M | -41.44%2.1M | -37.12%2.48M | -27.23%2.86M | -27.23%2.86M |
Derivative product liabilities | --35.18K | --47.91K | --72.19K | 165.04%75.22K | 165.04%75.22K | ---- | ---- | ---- | -96.55%28.38K | -96.55%28.38K |
Non current deferred liabilities | ---- | ---- | ---- | --0 | --0 | --0 | --0 | --0 | 26.71%701.61K | 26.71%701.61K |
Total non current liabilities | -15.36%8.55M | 119.98%9.09M | -12.79%8.72M | -16.11%9.4M | -16.11%9.4M | 38.85%10.1M | -42.13%4.13M | 28.28%10M | 28.82%11.2M | 28.82%11.2M |
Total liabilities | -1.70%22.93M | -23.06%19.77M | -21.67%20.45M | -20.23%21.17M | -20.23%21.17M | -13.54%23.33M | -13.84%25.69M | -17.09%26.11M | -5.64%26.54M | -5.64%26.54M |
Shareholders'equity | ||||||||||
Share capital | 0.02%123.14M | 0.02%123.14M | 0.00%123.11M | 0.25%123.11M | 0.25%123.11M | 1.27%123.11M | 3.39%123.11M | 3.39%123.11M | 3.13%122.8M | 3.13%122.8M |
-common stock | 0.02%123.14M | 0.02%123.14M | 0.00%123.11M | 0.25%123.11M | 0.25%123.11M | 1.27%123.11M | 3.39%123.11M | 3.39%123.11M | 3.13%122.8M | 3.13%122.8M |
Retained earnings | -2.70%-131.74M | -2.78%-131.36M | -3.17%-130.84M | -2.98%-130.25M | -2.98%-130.25M | -5.30%-128.28M | -5.68%-127.8M | -5.40%-126.82M | -6.64%-126.48M | -6.64%-126.48M |
Other equity interest | 0.40%11.5M | 1.78%11.44M | 2.00%11.39M | 1.81%11.32M | 1.81%11.32M | 2.72%11.45M | 1.70%11.24M | 1.93%11.16M | 2.46%11.12M | 2.46%11.12M |
Total stockholders'equity | -53.95%2.89M | -50.85%3.22M | -50.86%3.66M | -43.83%4.18M | -43.83%4.18M | -42.30%6.28M | -28.79%6.55M | -23.16%7.45M | -34.23%7.45M | -34.23%7.45M |
Total equity | -53.95%2.89M | -50.85%3.22M | -50.86%3.66M | -43.83%4.18M | -43.83%4.18M | -42.30%6.28M | -28.79%6.55M | -23.16%7.45M | -34.23%7.45M | -34.23%7.45M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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.