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FTS Fortis Inc

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  • 60.010
  • +0.710+1.20%
15min DelayMarket Closed Dec 20 16:00 ET
29.96BMarket Cap18.58P/E (TTM)

Fortis Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
17.12%896M
-18.70%561M
-1.22%569M
199.04%625M
199.04%625M
93.67%765M
104.14%690M
57.81%576M
59.54%209M
59.54%209M
-Cash and cash equivalents
17.12%896M
-18.70%561M
-1.22%569M
199.04%625M
199.04%625M
93.67%765M
104.14%690M
57.81%576M
59.54%209M
59.54%209M
Receivables
2.55%1.69B
13.10%1.79B
1.76%1.91B
-7.50%1.63B
-7.50%1.63B
-8.85%1.65B
-4.65%1.58B
10.81%1.88B
38.61%1.76B
38.61%1.76B
-Accounts receivable
2.55%1.69B
13.10%1.79B
1.76%1.91B
-4.30%890M
-4.30%890M
-8.85%1.65B
-4.65%1.58B
10.81%1.88B
49.76%930M
49.76%930M
-Unbilled accounts receivable
----
----
----
-18.04%727M
-18.04%727M
----
----
----
26.53%887M
26.53%887M
-Taxes receivable
----
----
----
--78M
--78M
----
----
----
--0
--0
-Recievables adjustments allowances
----
----
----
-17.24%-68M
-17.24%-68M
----
----
----
-9.43%-58M
-9.43%-58M
Inventory
3.23%607M
11.61%596M
-3.87%547M
-14.37%566M
-14.37%566M
-14.78%588M
0.19%534M
39.46%569M
38.28%661M
38.28%661M
Prepaid assets
12.56%233M
19.14%193M
6.21%154M
2.74%150M
2.74%150M
6.15%207M
68.75%162M
31.82%145M
25.86%146M
25.86%146M
Holding assets for sale
----
----
----
----
----
--569M
--561M
----
----
----
Other current assets
5.64%787M
6.85%780M
-18.49%811M
-29.25%1.06B
-29.25%1.06B
0.81%745M
30.59%730M
99.00%995M
103.54%1.49B
103.54%1.49B
Total current assets
-6.83%4.21B
-7.99%3.92B
-4.11%3.99B
-5.72%4.03B
-5.72%4.03B
18.16%4.52B
33.74%4.26B
35.27%4.16B
56.49%4.27B
56.49%4.27B
Non current assets
Net PPE
7.20%46.33B
9.24%45.64B
5.76%44.62B
4.15%43.44B
4.15%43.44B
4.02%43.22B
6.81%41.78B
11.07%42.19B
10.17%41.71B
10.17%41.71B
-Gross PPE
----
----
----
3.85%58.37B
3.85%58.37B
----
----
----
9.72%56.21B
9.72%56.21B
-Accumulated depreciation
----
----
----
-2.99%-14.94B
-2.99%-14.94B
----
----
----
-8.45%-14.5B
-8.45%-14.5B
Investments and advances
----
----
----
17.09%370M
17.09%370M
----
----
----
77.53%316M
77.53%316M
-Long term equity investment
----
----
----
17.91%237M
17.91%237M
----
----
----
118.48%201M
118.48%201M
-Other investment
----
----
----
15.65%133M
15.65%133M
----
----
----
33.72%115M
33.72%115M
Financial assets
----
----
----
-63.56%43M
-63.56%43M
----
----
----
195.00%118M
195.00%118M
Goodwill and other intangible assets
0.01%13.97B
3.06%14.09B
0.13%13.96B
-2.27%13.69B
-2.27%13.69B
-1.37%13.97B
2.78%13.68B
7.61%13.94B
7.26%14.01B
7.26%14.01B
-Goodwill
-0.31%12.42B
2.91%12.54B
-0.06%12.43B
-2.25%12.18B
-2.25%12.18B
-1.83%12.46B
2.28%12.18B
7.06%12.43B
6.35%12.46B
6.35%12.46B
-Other intangible assets
2.64%1.56B
4.22%1.56B
1.72%1.54B
-2.45%1.51B
-2.45%1.51B
2.57%1.52B
7.03%1.49B
12.34%1.51B
15.26%1.55B
15.26%1.55B
Defined pension benefit
----
----
----
10.02%472M
10.02%472M
----
----
----
1.18%429M
1.18%429M
Regulatory assets
12.92%3.77B
16.62%3.76B
16.42%3.67B
13.67%3.52B
13.67%3.52B
1.37%3.34B
-1.56%3.23B
-0.66%3.16B
-0.06%3.1B
-0.06%3.1B
Non current deferred assets
----
----
----
-45.00%22M
-45.00%22M
----
----
----
-4.76%40M
-4.76%40M
Other non current assets
10.02%1.36B
19.02%1.36B
13.61%1.34B
27.34%340M
27.34%340M
-1.28%1.24B
6.51%1.15B
17.25%1.18B
15.58%267M
15.58%267M
Total non current assets
5.94%65.43B
8.41%64.86B
5.17%63.59B
3.19%61.9B
3.19%61.9B
2.50%61.76B
5.38%59.82B
9.69%60.47B
9.20%59.98B
9.20%59.98B
Total assets
5.06%69.64B
7.32%68.77B
4.57%67.58B
2.60%65.92B
2.60%65.92B
3.43%66.29B
6.88%64.08B
11.04%64.63B
11.43%64.25B
11.43%64.25B
Liabilities
Current liabilities
Current debt and capital lease obligation
-31.17%1.96B
14.13%2.7B
19.06%3.24B
-11.67%2.42B
-11.67%2.42B
1.78%2.85B
9.65%2.36B
46.79%2.72B
45.81%2.73B
45.81%2.73B
-Current debt
-31.17%1.96B
14.13%2.7B
19.06%3.24B
-11.67%2.42B
-11.67%2.42B
1.78%2.85B
9.65%2.36B
46.79%2.72B
45.81%2.73B
45.81%2.73B
Payables
7.76%3.1B
-2.30%2.38B
-5.81%2.79B
-11.05%2.06B
-11.05%2.06B
1.52%2.88B
3.62%2.43B
16.05%2.96B
24.92%2.32B
24.92%2.32B
-accounts payable
7.76%3.1B
-2.30%2.38B
-5.81%2.79B
11.74%990M
11.74%990M
1.52%2.88B
3.62%2.43B
16.05%2.96B
14.47%886M
14.47%886M
-Total tax payable
----
----
----
-27.57%268M
-27.57%268M
----
----
----
37.55%370M
37.55%370M
-Dividends payable
----
----
----
6.12%295M
6.12%295M
----
----
----
7.34%278M
7.34%278M
-Other payable
----
----
----
-35.17%507M
-35.17%507M
----
----
----
41.67%782M
41.67%782M
Current accrued expenses
----
----
----
7.87%274M
7.87%274M
----
----
----
16.51%254M
16.51%254M
Pension and other retirement benefit plans
----
----
----
0.00%28M
0.00%28M
----
----
----
7.69%28M
7.69%28M
Current deferred liabilities
----
----
----
-34.41%263M
-34.41%263M
----
----
----
39.24%401M
39.24%401M
Other current liabilities
3.90%666M
-1.78%607M
23.03%577M
4.52%924M
4.52%924M
25.93%641M
27.69%618M
4.45%469M
67.42%884M
67.42%884M
Current liabilities
-10.07%5.73B
4.93%5.68B
7.40%6.61B
-9.87%5.96B
-9.87%5.96B
3.66%6.37B
8.56%5.41B
26.73%6.15B
37.80%6.62B
37.80%6.62B
Non current liabilities
Long term debt and capital lease obligation
9.24%30.06B
6.87%29.01B
3.36%27.71B
4.99%27.61B
4.99%27.61B
4.73%27.51B
9.05%27.14B
9.91%26.81B
9.26%26.3B
9.26%26.3B
-Long term debt
9.34%29.71B
6.95%28.67B
3.39%27.36B
5.03%27.24B
5.03%27.24B
4.79%27.17B
9.17%26.81B
10.03%26.47B
9.38%25.93B
9.38%25.93B
-Long term capital lease obligation
1.46%347M
0.90%338M
0.87%347M
2.16%378M
2.16%378M
0.29%342M
0.60%335M
1.18%344M
1.37%370M
1.37%370M
Derivative product liabilities
----
----
----
-33.33%48M
-33.33%48M
----
----
----
928.57%72M
928.57%72M
Long term provisions
----
----
----
-6.82%287M
-6.82%287M
----
----
----
-0.96%308M
-0.96%308M
Employee benefits
----
----
----
21.31%609M
21.31%609M
----
----
----
-39.95%502M
-39.95%502M
Regulatory liabilities
-1.49%3.44B
7.37%3.47B
1.99%3.43B
1.84%3.38B
1.84%3.38B
6.55%3.5B
5.91%3.23B
14.10%3.37B
15.88%3.32B
15.88%3.32B
Non current deferred liabilities
12.95%4.74B
15.90%4.66B
10.97%4.54B
9.63%4.62B
9.63%4.62B
4.76%4.2B
5.60%4.02B
11.74%4.09B
11.63%4.22B
11.63%4.22B
Other non current liabilities
9.97%1.28B
18.26%1.3B
13.39%1.28B
-13.33%65M
-13.33%65M
-18.67%1.16B
-19.28%1.1B
-16.38%1.13B
1.35%75M
1.35%75M
Total non current liabilities
8.66%39.52B
8.30%38.43B
4.43%36.96B
5.26%36.62B
5.26%36.62B
3.95%36.37B
7.20%35.49B
9.40%35.4B
8.93%34.79B
8.93%34.79B
Total liabilities
5.87%45.25B
7.85%44.12B
4.87%43.57B
2.84%42.59B
2.84%42.59B
3.90%42.74B
7.38%40.9B
11.66%41.55B
12.70%41.41B
12.70%41.41B
Shareholders'equity
Share capital
2.84%17.09B
2.77%16.97B
2.80%16.86B
2.78%16.73B
2.78%16.73B
2.69%16.62B
2.64%16.51B
2.62%16.4B
2.64%16.28B
2.64%16.28B
-common stock
3.15%15.47B
3.07%15.35B
3.11%15.23B
3.08%15.11B
3.08%15.11B
2.99%14.99B
2.93%14.89B
2.92%14.77B
2.94%14.66B
2.94%14.66B
-Preferred stock
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
Additional paid-in capital
-11.11%8M
0.00%8M
0.00%8M
-10.00%9M
-10.00%9M
12.50%9M
0.00%8M
0.00%8M
0.00%10M
0.00%10M
Retained earnings
10.27%4.43B
10.05%4.61B
9.83%4.28B
10.15%4.11B
10.15%4.11B
10.59%4.02B
9.20%4.19B
9.65%3.9B
7.95%3.73B
7.95%3.73B
Gains losses not affecting retained earnings
-7.36%969M
73.54%1.16B
3.21%998M
-35.22%653M
-35.22%653M
-19.54%1.05B
184.68%669M
675.60%967M
2,620.00%1.01B
2,620.00%1.01B
Total stockholders'equity
3.72%22.5B
6.41%22.75B
4.10%22.14B
2.26%21.51B
2.26%21.51B
2.69%21.69B
6.00%21.38B
9.79%21.27B
9.03%21.03B
9.03%21.03B
Noncontrolling interests
2.16%1.89B
6.12%1.91B
3.25%1.88B
0.83%1.83B
0.83%1.83B
1.48%1.85B
6.26%1.8B
11.82%1.82B
11.30%1.81B
11.30%1.81B
Total equity
3.60%24.39B
6.39%24.66B
4.04%24.02B
2.15%23.33B
2.15%23.33B
2.59%23.55B
6.02%23.18B
9.95%23.08B
9.21%22.84B
9.21%22.84B
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
--
--
--
--
--
--
(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 17.12%896M-18.70%561M-1.22%569M199.04%625M199.04%625M93.67%765M104.14%690M57.81%576M59.54%209M59.54%209M
-Cash and cash equivalents 17.12%896M-18.70%561M-1.22%569M199.04%625M199.04%625M93.67%765M104.14%690M57.81%576M59.54%209M59.54%209M
Receivables 2.55%1.69B13.10%1.79B1.76%1.91B-7.50%1.63B-7.50%1.63B-8.85%1.65B-4.65%1.58B10.81%1.88B38.61%1.76B38.61%1.76B
-Accounts receivable 2.55%1.69B13.10%1.79B1.76%1.91B-4.30%890M-4.30%890M-8.85%1.65B-4.65%1.58B10.81%1.88B49.76%930M49.76%930M
-Unbilled accounts receivable -------------18.04%727M-18.04%727M------------26.53%887M26.53%887M
-Taxes receivable --------------78M--78M--------------0--0
-Recievables adjustments allowances -------------17.24%-68M-17.24%-68M-------------9.43%-58M-9.43%-58M
Inventory 3.23%607M11.61%596M-3.87%547M-14.37%566M-14.37%566M-14.78%588M0.19%534M39.46%569M38.28%661M38.28%661M
Prepaid assets 12.56%233M19.14%193M6.21%154M2.74%150M2.74%150M6.15%207M68.75%162M31.82%145M25.86%146M25.86%146M
Holding assets for sale ----------------------569M--561M------------
Other current assets 5.64%787M6.85%780M-18.49%811M-29.25%1.06B-29.25%1.06B0.81%745M30.59%730M99.00%995M103.54%1.49B103.54%1.49B
Total current assets -6.83%4.21B-7.99%3.92B-4.11%3.99B-5.72%4.03B-5.72%4.03B18.16%4.52B33.74%4.26B35.27%4.16B56.49%4.27B56.49%4.27B
Non current assets
Net PPE 7.20%46.33B9.24%45.64B5.76%44.62B4.15%43.44B4.15%43.44B4.02%43.22B6.81%41.78B11.07%42.19B10.17%41.71B10.17%41.71B
-Gross PPE ------------3.85%58.37B3.85%58.37B------------9.72%56.21B9.72%56.21B
-Accumulated depreciation -------------2.99%-14.94B-2.99%-14.94B-------------8.45%-14.5B-8.45%-14.5B
Investments and advances ------------17.09%370M17.09%370M------------77.53%316M77.53%316M
-Long term equity investment ------------17.91%237M17.91%237M------------118.48%201M118.48%201M
-Other investment ------------15.65%133M15.65%133M------------33.72%115M33.72%115M
Financial assets -------------63.56%43M-63.56%43M------------195.00%118M195.00%118M
Goodwill and other intangible assets 0.01%13.97B3.06%14.09B0.13%13.96B-2.27%13.69B-2.27%13.69B-1.37%13.97B2.78%13.68B7.61%13.94B7.26%14.01B7.26%14.01B
-Goodwill -0.31%12.42B2.91%12.54B-0.06%12.43B-2.25%12.18B-2.25%12.18B-1.83%12.46B2.28%12.18B7.06%12.43B6.35%12.46B6.35%12.46B
-Other intangible assets 2.64%1.56B4.22%1.56B1.72%1.54B-2.45%1.51B-2.45%1.51B2.57%1.52B7.03%1.49B12.34%1.51B15.26%1.55B15.26%1.55B
Defined pension benefit ------------10.02%472M10.02%472M------------1.18%429M1.18%429M
Regulatory assets 12.92%3.77B16.62%3.76B16.42%3.67B13.67%3.52B13.67%3.52B1.37%3.34B-1.56%3.23B-0.66%3.16B-0.06%3.1B-0.06%3.1B
Non current deferred assets -------------45.00%22M-45.00%22M-------------4.76%40M-4.76%40M
Other non current assets 10.02%1.36B19.02%1.36B13.61%1.34B27.34%340M27.34%340M-1.28%1.24B6.51%1.15B17.25%1.18B15.58%267M15.58%267M
Total non current assets 5.94%65.43B8.41%64.86B5.17%63.59B3.19%61.9B3.19%61.9B2.50%61.76B5.38%59.82B9.69%60.47B9.20%59.98B9.20%59.98B
Total assets 5.06%69.64B7.32%68.77B4.57%67.58B2.60%65.92B2.60%65.92B3.43%66.29B6.88%64.08B11.04%64.63B11.43%64.25B11.43%64.25B
Liabilities
Current liabilities
Current debt and capital lease obligation -31.17%1.96B14.13%2.7B19.06%3.24B-11.67%2.42B-11.67%2.42B1.78%2.85B9.65%2.36B46.79%2.72B45.81%2.73B45.81%2.73B
-Current debt -31.17%1.96B14.13%2.7B19.06%3.24B-11.67%2.42B-11.67%2.42B1.78%2.85B9.65%2.36B46.79%2.72B45.81%2.73B45.81%2.73B
Payables 7.76%3.1B-2.30%2.38B-5.81%2.79B-11.05%2.06B-11.05%2.06B1.52%2.88B3.62%2.43B16.05%2.96B24.92%2.32B24.92%2.32B
-accounts payable 7.76%3.1B-2.30%2.38B-5.81%2.79B11.74%990M11.74%990M1.52%2.88B3.62%2.43B16.05%2.96B14.47%886M14.47%886M
-Total tax payable -------------27.57%268M-27.57%268M------------37.55%370M37.55%370M
-Dividends payable ------------6.12%295M6.12%295M------------7.34%278M7.34%278M
-Other payable -------------35.17%507M-35.17%507M------------41.67%782M41.67%782M
Current accrued expenses ------------7.87%274M7.87%274M------------16.51%254M16.51%254M
Pension and other retirement benefit plans ------------0.00%28M0.00%28M------------7.69%28M7.69%28M
Current deferred liabilities -------------34.41%263M-34.41%263M------------39.24%401M39.24%401M
Other current liabilities 3.90%666M-1.78%607M23.03%577M4.52%924M4.52%924M25.93%641M27.69%618M4.45%469M67.42%884M67.42%884M
Current liabilities -10.07%5.73B4.93%5.68B7.40%6.61B-9.87%5.96B-9.87%5.96B3.66%6.37B8.56%5.41B26.73%6.15B37.80%6.62B37.80%6.62B
Non current liabilities
Long term debt and capital lease obligation 9.24%30.06B6.87%29.01B3.36%27.71B4.99%27.61B4.99%27.61B4.73%27.51B9.05%27.14B9.91%26.81B9.26%26.3B9.26%26.3B
-Long term debt 9.34%29.71B6.95%28.67B3.39%27.36B5.03%27.24B5.03%27.24B4.79%27.17B9.17%26.81B10.03%26.47B9.38%25.93B9.38%25.93B
-Long term capital lease obligation 1.46%347M0.90%338M0.87%347M2.16%378M2.16%378M0.29%342M0.60%335M1.18%344M1.37%370M1.37%370M
Derivative product liabilities -------------33.33%48M-33.33%48M------------928.57%72M928.57%72M
Long term provisions -------------6.82%287M-6.82%287M-------------0.96%308M-0.96%308M
Employee benefits ------------21.31%609M21.31%609M-------------39.95%502M-39.95%502M
Regulatory liabilities -1.49%3.44B7.37%3.47B1.99%3.43B1.84%3.38B1.84%3.38B6.55%3.5B5.91%3.23B14.10%3.37B15.88%3.32B15.88%3.32B
Non current deferred liabilities 12.95%4.74B15.90%4.66B10.97%4.54B9.63%4.62B9.63%4.62B4.76%4.2B5.60%4.02B11.74%4.09B11.63%4.22B11.63%4.22B
Other non current liabilities 9.97%1.28B18.26%1.3B13.39%1.28B-13.33%65M-13.33%65M-18.67%1.16B-19.28%1.1B-16.38%1.13B1.35%75M1.35%75M
Total non current liabilities 8.66%39.52B8.30%38.43B4.43%36.96B5.26%36.62B5.26%36.62B3.95%36.37B7.20%35.49B9.40%35.4B8.93%34.79B8.93%34.79B
Total liabilities 5.87%45.25B7.85%44.12B4.87%43.57B2.84%42.59B2.84%42.59B3.90%42.74B7.38%40.9B11.66%41.55B12.70%41.41B12.70%41.41B
Shareholders'equity
Share capital 2.84%17.09B2.77%16.97B2.80%16.86B2.78%16.73B2.78%16.73B2.69%16.62B2.64%16.51B2.62%16.4B2.64%16.28B2.64%16.28B
-common stock 3.15%15.47B3.07%15.35B3.11%15.23B3.08%15.11B3.08%15.11B2.99%14.99B2.93%14.89B2.92%14.77B2.94%14.66B2.94%14.66B
-Preferred stock 0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B
Additional paid-in capital -11.11%8M0.00%8M0.00%8M-10.00%9M-10.00%9M12.50%9M0.00%8M0.00%8M0.00%10M0.00%10M
Retained earnings 10.27%4.43B10.05%4.61B9.83%4.28B10.15%4.11B10.15%4.11B10.59%4.02B9.20%4.19B9.65%3.9B7.95%3.73B7.95%3.73B
Gains losses not affecting retained earnings -7.36%969M73.54%1.16B3.21%998M-35.22%653M-35.22%653M-19.54%1.05B184.68%669M675.60%967M2,620.00%1.01B2,620.00%1.01B
Total stockholders'equity 3.72%22.5B6.41%22.75B4.10%22.14B2.26%21.51B2.26%21.51B2.69%21.69B6.00%21.38B9.79%21.27B9.03%21.03B9.03%21.03B
Noncontrolling interests 2.16%1.89B6.12%1.91B3.25%1.88B0.83%1.83B0.83%1.83B1.48%1.85B6.26%1.8B11.82%1.82B11.30%1.81B11.30%1.81B
Total equity 3.60%24.39B6.39%24.66B4.04%24.02B2.15%23.33B2.15%23.33B2.59%23.55B6.02%23.18B9.95%23.08B9.21%22.84B9.21%22.84B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------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.

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Big Five Big Five

The "Big Five" refers to Canada's five largest banks—Royal Bank of Canada, Toronto-Dominion Bank, Bank of Nova Scotia, Bank of Montreal, and Canadian Imperial Bank of Commerce—which dominate and significantly influence the country's financial sector. The "Big Five" refers to Canada's five largest banks—Royal Bank of Canada, Toronto-Dominion Bank, Bank of Nova Scotia, Bank of Montreal, and Canadian Imperial Bank of Commerce—which dominate and significantly influence the country's financial sector.