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FTS Fortis Inc

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  • 58.800
  • -0.320-0.54%
15min DelayTrading Aug 9 09:31 ET
29.12BMarket Cap18.43P/E (TTM)

Fortis Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-13.77%814M
-16.07%768M
15.32%3.55B
-14.15%746M
48.50%940M
24.37%944M
12.55%915M
5.74%3.07B
21.20%869M
-10.97%633M
Net income from continuing operations
11.85%387M
5.79%512M
12.95%1.71B
3.57%435M
19.95%445M
4.85%346M
23.16%484M
7.76%1.51B
13.21%420M
8.48%371M
Depreciation and amortization
9.09%480M
7.11%467M
6.29%1.77B
7.58%454M
4.98%443M
5.52%440M
7.13%436M
10.83%1.67B
9.90%422M
11.05%422M
Deferred tax
-12.50%21M
-3.23%30M
49.45%272M
142.86%153M
0.00%64M
-25.00%24M
34.78%31M
23.81%182M
65.79%63M
45.45%64M
Other non cashItems
-150.00%-10M
-76.47%-30M
-207.41%-29M
-41.03%-55M
-51.06%23M
600.00%20M
-173.91%-17M
1,450.00%27M
-2.63%-39M
487.50%47M
Change In working capital
-156.14%-64M
-1,010.53%-211M
42.90%-181M
-8,133.33%-241M
87.08%-35M
812.50%114M
42.42%-19M
-114.19%-317M
107.89%3M
-330.16%-271M
-Change in receivables
-38.46%128M
-123.13%-65M
129.65%142M
22.50%-279M
6.85%-68M
324.49%208M
395.79%281M
-444.32%-479M
-123.60%-360M
-335.48%-73M
-Change in inventory
-51.72%-44M
-67.03%30M
99.35%-1M
-71.43%6M
46.51%-69M
74.56%-29M
31.88%91M
-173.21%-153M
-59.62%21M
-19.44%-129M
-Change in prepaid assets
-42.11%-27M
---2M
68.18%-7M
14.89%54M
53.85%-42M
-211.76%-19M
--0
-46.67%-22M
11.90%47M
-13.75%-91M
-Change in payables and accrued expense
-21.21%-160M
53.83%-187M
-186.86%-390M
-101.12%-4M
104.05%151M
-1,566.67%-132M
-5,162.50%-405M
173.78%449M
225.45%358M
13.85%74M
-Change in other current assets
-74.39%42M
2,400.00%92M
133.88%104M
75.20%-31M
82.01%-25M
629.03%164M
66.67%-4M
-210.10%-307M
-123.21%-125M
-634.62%-139M
-Change in other current liabilities
-32.00%17M
133.33%1M
115.15%71M
583.33%29M
185.71%20M
-16.67%25M
-250.00%-3M
166.00%33M
0.00%-6M
158.33%7M
-Change in other working capital
80.58%-20M
-480.95%-80M
-161.73%-100M
-123.53%-16M
-102.50%-2M
-529.17%-103M
310.00%21M
4,150.00%162M
457.89%68M
433.33%80M
Cash from discontinued investing activities
Operating cash flow
-13.77%814M
-16.07%768M
15.32%3.55B
-14.15%746M
48.50%940M
24.37%944M
12.55%915M
5.74%3.07B
21.20%869M
-10.97%633M
Investing cash flow
Cash flow from continuing investing activities
-13.23%-1.15B
-21.04%-1.14B
7.81%-3.74B
35.07%-748M
3.08%-1.04B
-10.35%-1.01B
-2.73%-941M
-16.37%-4.06B
-16.95%-1.15B
-26.98%-1.07B
Net PPE purchase and sale
-13.43%-1.06B
-18.08%-1.07B
-11.12%-3.99B
-20.47%-1.19B
-4.96%-952M
-13.42%-938M
-4.73%-907M
-12.48%-3.59B
-10.03%-987M
-16.73%-907M
Net intangibles purchas and sale
-9.09%-48M
10.64%-42M
34.17%-183M
51.97%-61M
29.55%-31M
24.14%-44M
4.08%-47M
-41.12%-278M
-64.94%-127M
-7.32%-44M
Net business purchase and sale
----
----
530.00%430M
--454M
76.00%-24M
----
----
---100M
--0
---100M
Net other investing changes
-12.90%-35M
-300.00%-26M
96.81%-3M
226.32%48M
-50.00%-33M
6.06%-31M
1,400.00%13M
7.84%-94M
-245.45%-38M
18.52%-22M
Cash from discontinued investing activities
Investing cash flow
-13.23%-1.15B
-21.04%-1.14B
7.81%-3.74B
35.07%-748M
3.08%-1.04B
-10.35%-1.01B
-2.73%-941M
-16.37%-4.06B
-16.95%-1.15B
-26.98%-1.07B
Financing cash flow
Cash flow from continuing financing activities
52.63%319M
-21.65%304M
-40.77%613M
-230.10%-134M
-68.15%150M
68.55%209M
15.13%388M
129.49%1.04B
-40.80%103M
289.16%471M
Net issuance payments of debt
44.62%551M
-10.09%517M
-20.95%1.42B
-64.58%113M
-48.36%346M
27.42%381M
14.54%575M
57.29%1.79B
-7.80%319M
1,388.46%670M
Net common stock issuance
-42.86%8M
-7.14%13M
-18.87%43M
28.57%9M
0.00%6M
-22.22%14M
-36.36%14M
-11.67%53M
-12.50%7M
-25.00%6M
Cash dividends paid
-6.88%-202M
-5.91%-197M
-4.21%-768M
-2.03%-201M
-4.35%-192M
-5.00%-189M
-5.68%-186M
-9.84%-737M
-13.22%-197M
-9.52%-184M
Net other financing activities
-1,366.67%-38M
-93.33%-29M
-8.45%-77M
-111.54%-55M
52.38%-10M
123.08%3M
-36.36%-15M
6.58%-71M
-333.33%-26M
43.24%-21M
Cash from discontinued financing activities
Financing cash flow
52.63%319M
-21.65%304M
-40.77%613M
-230.10%-134M
-68.15%150M
68.55%209M
15.13%388M
129.49%1.04B
-40.80%103M
289.16%471M
Net cash flow
Beginning cash position
-1.22%569M
199.04%625M
59.54%209M
93.67%765M
104.14%690M
57.81%576M
59.54%209M
-47.39%131M
75.56%395M
-43.57%338M
Current changes in cash
-110.00%-14M
-118.51%-67M
732.00%416M
24.44%-136M
61.29%50M
500.00%140M
54.70%362M
138.46%50M
-91.49%-180M
108.09%31M
Effect of exchange rate changes
185.71%6M
120.00%11M
--0
-116.67%-13M
-42.31%15M
-187.50%-7M
--5M
133.33%28M
---6M
188.89%26M
Cash adjustments other than cash changes
--0
----
----
----
--10M
---19M
----
----
----
--0
End cash Position
-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
75.56%395M
Free cash from
-684.21%-298M
-784.62%-345M
21.11%-624M
-105.71%-504M
86.48%-43M
69.84%-38M
61.76%-39M
-65.14%-791M
4.67%-245M
-197.20%-318M
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
--
--
--
--
--
--
--
(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(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -13.77%814M-16.07%768M15.32%3.55B-14.15%746M48.50%940M24.37%944M12.55%915M5.74%3.07B21.20%869M-10.97%633M
Net income from continuing operations 11.85%387M5.79%512M12.95%1.71B3.57%435M19.95%445M4.85%346M23.16%484M7.76%1.51B13.21%420M8.48%371M
Depreciation and amortization 9.09%480M7.11%467M6.29%1.77B7.58%454M4.98%443M5.52%440M7.13%436M10.83%1.67B9.90%422M11.05%422M
Deferred tax -12.50%21M-3.23%30M49.45%272M142.86%153M0.00%64M-25.00%24M34.78%31M23.81%182M65.79%63M45.45%64M
Other non cashItems -150.00%-10M-76.47%-30M-207.41%-29M-41.03%-55M-51.06%23M600.00%20M-173.91%-17M1,450.00%27M-2.63%-39M487.50%47M
Change In working capital -156.14%-64M-1,010.53%-211M42.90%-181M-8,133.33%-241M87.08%-35M812.50%114M42.42%-19M-114.19%-317M107.89%3M-330.16%-271M
-Change in receivables -38.46%128M-123.13%-65M129.65%142M22.50%-279M6.85%-68M324.49%208M395.79%281M-444.32%-479M-123.60%-360M-335.48%-73M
-Change in inventory -51.72%-44M-67.03%30M99.35%-1M-71.43%6M46.51%-69M74.56%-29M31.88%91M-173.21%-153M-59.62%21M-19.44%-129M
-Change in prepaid assets -42.11%-27M---2M68.18%-7M14.89%54M53.85%-42M-211.76%-19M--0-46.67%-22M11.90%47M-13.75%-91M
-Change in payables and accrued expense -21.21%-160M53.83%-187M-186.86%-390M-101.12%-4M104.05%151M-1,566.67%-132M-5,162.50%-405M173.78%449M225.45%358M13.85%74M
-Change in other current assets -74.39%42M2,400.00%92M133.88%104M75.20%-31M82.01%-25M629.03%164M66.67%-4M-210.10%-307M-123.21%-125M-634.62%-139M
-Change in other current liabilities -32.00%17M133.33%1M115.15%71M583.33%29M185.71%20M-16.67%25M-250.00%-3M166.00%33M0.00%-6M158.33%7M
-Change in other working capital 80.58%-20M-480.95%-80M-161.73%-100M-123.53%-16M-102.50%-2M-529.17%-103M310.00%21M4,150.00%162M457.89%68M433.33%80M
Cash from discontinued investing activities
Operating cash flow -13.77%814M-16.07%768M15.32%3.55B-14.15%746M48.50%940M24.37%944M12.55%915M5.74%3.07B21.20%869M-10.97%633M
Investing cash flow
Cash flow from continuing investing activities -13.23%-1.15B-21.04%-1.14B7.81%-3.74B35.07%-748M3.08%-1.04B-10.35%-1.01B-2.73%-941M-16.37%-4.06B-16.95%-1.15B-26.98%-1.07B
Net PPE purchase and sale -13.43%-1.06B-18.08%-1.07B-11.12%-3.99B-20.47%-1.19B-4.96%-952M-13.42%-938M-4.73%-907M-12.48%-3.59B-10.03%-987M-16.73%-907M
Net intangibles purchas and sale -9.09%-48M10.64%-42M34.17%-183M51.97%-61M29.55%-31M24.14%-44M4.08%-47M-41.12%-278M-64.94%-127M-7.32%-44M
Net business purchase and sale --------530.00%430M--454M76.00%-24M-----------100M--0---100M
Net other investing changes -12.90%-35M-300.00%-26M96.81%-3M226.32%48M-50.00%-33M6.06%-31M1,400.00%13M7.84%-94M-245.45%-38M18.52%-22M
Cash from discontinued investing activities
Investing cash flow -13.23%-1.15B-21.04%-1.14B7.81%-3.74B35.07%-748M3.08%-1.04B-10.35%-1.01B-2.73%-941M-16.37%-4.06B-16.95%-1.15B-26.98%-1.07B
Financing cash flow
Cash flow from continuing financing activities 52.63%319M-21.65%304M-40.77%613M-230.10%-134M-68.15%150M68.55%209M15.13%388M129.49%1.04B-40.80%103M289.16%471M
Net issuance payments of debt 44.62%551M-10.09%517M-20.95%1.42B-64.58%113M-48.36%346M27.42%381M14.54%575M57.29%1.79B-7.80%319M1,388.46%670M
Net common stock issuance -42.86%8M-7.14%13M-18.87%43M28.57%9M0.00%6M-22.22%14M-36.36%14M-11.67%53M-12.50%7M-25.00%6M
Cash dividends paid -6.88%-202M-5.91%-197M-4.21%-768M-2.03%-201M-4.35%-192M-5.00%-189M-5.68%-186M-9.84%-737M-13.22%-197M-9.52%-184M
Net other financing activities -1,366.67%-38M-93.33%-29M-8.45%-77M-111.54%-55M52.38%-10M123.08%3M-36.36%-15M6.58%-71M-333.33%-26M43.24%-21M
Cash from discontinued financing activities
Financing cash flow 52.63%319M-21.65%304M-40.77%613M-230.10%-134M-68.15%150M68.55%209M15.13%388M129.49%1.04B-40.80%103M289.16%471M
Net cash flow
Beginning cash position -1.22%569M199.04%625M59.54%209M93.67%765M104.14%690M57.81%576M59.54%209M-47.39%131M75.56%395M-43.57%338M
Current changes in cash -110.00%-14M-118.51%-67M732.00%416M24.44%-136M61.29%50M500.00%140M54.70%362M138.46%50M-91.49%-180M108.09%31M
Effect of exchange rate changes 185.71%6M120.00%11M--0-116.67%-13M-42.31%15M-187.50%-7M--5M133.33%28M---6M188.89%26M
Cash adjustments other than cash changes --0--------------10M---19M--------------0
End cash Position -18.70%561M-1.22%569M199.04%625M199.04%625M93.67%765M104.14%690M57.81%576M59.54%209M59.54%209M75.56%395M
Free cash from -684.21%-298M-784.62%-345M21.11%-624M-105.71%-504M86.48%-43M69.84%-38M61.76%-39M-65.14%-791M4.67%-245M-197.20%-318M
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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