Power Corporation of Canada
POW
Choice Properties Real Estate Investment Trust
CHP.UN
Bank of Nova Scotia
BNS
Enbridge Inc
ENB
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 | -61.97%6.29M | -60.51%10.66M | -51.90%14.77M | -75.54%11.76M | -75.54%11.76M | -74.66%16.54M | -63.96%26.99M | 39.96%30.71M | 48.14%48.08M | 48.14%48.08M |
-Cash and cash equivalents | -62.38%6.17M | -60.74%10.54M | -52.14%14.62M | -75.77%11.61M | -75.77%11.61M | -74.83%16.4M | -64.09%26.84M | 40.27%30.56M | 48.17%47.93M | 48.17%47.93M |
-Short term investments | -15.28%122K | -18.49%119K | -2.67%146K | -1.97%149K | -1.97%149K | -2.04%144K | -0.68%146K | -3.23%150K | 40.74%152K | 40.74%152K |
Receivables | -55.53%474K | 43.72%2.1M | 1.46%1.32M | 335.95%11.28M | 335.95%11.28M | -73.48%1.07M | -66.86%1.46M | -75.00%1.3M | -57.78%2.59M | -57.78%2.59M |
-Taxes receivable | -61.46%392K | -37.27%887K | 3.41%1.28M | -65.43%877K | -65.43%877K | -74.39%1.02M | -67.55%1.41M | -75.89%1.23M | -54.83%2.54M | -54.83%2.54M |
-Other receivables | 67.35%82K | 2,334.00%1.22M | -35.94%41K | 20,702.00%10.4M | 20,702.00%10.4M | 2.08%49K | -18.03%50K | -12.33%64K | -90.20%50K | -90.20%50K |
Inventory | ---- | ---- | ---- | --0 | --0 | -84.68%833K | -97.91%267K | -95.63%446K | -51.88%4.64M | -51.88%4.64M |
Prepaid assets | -31.06%597K | -36.16%369K | -26.08%598K | -26.67%822K | -26.67%822K | -38.23%866K | -45.21%578K | -9.00%809K | -3.28%1.12M | -3.28%1.12M |
Total current assets | -61.87%7.36M | -55.18%13.13M | -49.84%16.68M | -57.71%23.86M | -57.71%23.86M | -74.65%19.31M | -80.26%29.3M | -78.13%33.26M | 14.26%56.43M | 14.26%56.43M |
Non current assets | ||||||||||
Net PPE | -71.62%46.88M | -73.26%45.47M | -73.46%46.41M | -73.12%48.1M | -73.12%48.1M | -2.96%165.18M | -21.98%170.02M | -31.04%174.87M | -30.38%178.93M | -30.38%178.93M |
-Gross PPE | -83.21%48.44M | -84.05%46.94M | -80.76%57.94M | -80.57%59.36M | -80.57%59.36M | -0.87%288.55M | 0.98%294.32M | 4.59%301.1M | -2.99%305.46M | -2.99%305.46M |
-Accumulated depreciation | 98.74%-1.56M | 98.82%-1.47M | 90.87%-11.53M | 91.10%-11.26M | 91.10%-11.26M | -2.07%-123.37M | -69.02%-124.3M | -267.72%-126.23M | -118.69%-126.53M | -118.69%-126.53M |
Investments and advances | 65.68%41.61M | 70.24%42.27M | 65.04%42.1M | 66.15%34.4M | 66.15%34.4M | 22.10%25.11M | 30.96%24.83M | 19.67%25.51M | -86.75%20.7M | -86.75%20.7M |
-Financial asset investment | 65.68%41.61M | 70.24%42.27M | 65.04%42.1M | 66.15%34.4M | 66.15%34.4M | 22.10%25.11M | 30.96%24.83M | 19.67%25.51M | -86.75%20.7M | -86.75%20.7M |
-Including:Financial assets designated as fair value through profit or loss, Total | ---- | ---- | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- |
-Including:Available-for-sale securities | 65.68%41.61M | 70.24%42.27M | --42.1M | 66.15%34.4M | 66.15%34.4M | 22.59%25.11M | --24.83M | ---- | -86.75%20.7M | -86.75%20.7M |
Other non current assets | 7.45%101K | 5.32%99K | -3.03%96K | -3.96%97K | -3.96%97K | -3.09%94K | 28.77%94K | 28.57%99K | 31.17%101K | 31.17%101K |
Total non current assets | -53.47%88.59M | -54.94%87.83M | -55.81%88.6M | -58.65%82.59M | -58.65%82.59M | -0.26%190.38M | -17.72%194.94M | -27.09%200.47M | -51.67%199.73M | -51.67%199.73M |
Total assets | -54.24%95.95M | -54.97%100.96M | -54.96%105.28M | -58.44%106.45M | -58.44%106.45M | -21.48%209.69M | -41.81%224.23M | -45.26%233.73M | -44.64%256.16M | -44.64%256.16M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -93.66%109K | -95.66%108K | -86.96%531K | -72.90%1.17M | -72.90%1.17M | -58.46%1.72M | -95.82%2.49M | -84.97%4.07M | -82.44%4.31M | -82.44%4.31M |
-Current capital lease obligation | -93.66%109K | -95.66%108K | -86.96%531K | -72.90%1.17M | -72.90%1.17M | -58.46%1.72M | -68.82%2.49M | -63.03%4.07M | -65.36%4.31M | -65.36%4.31M |
Payables | -65.86%481K | 28.22%727K | -68.34%347K | -84.67%1.2M | -84.67%1.2M | -86.16%1.41M | -89.09%567K | -44.62%1.1M | 140.01%7.79M | 140.01%7.79M |
-accounts payable | -65.86%481K | 28.22%727K | -68.34%347K | -68.05%556K | -68.05%556K | -65.64%1.41M | -84.62%567K | -44.62%1.1M | -46.41%1.74M | -46.41%1.74M |
-Total tax payable | --0 | --0 | --0 | -89.44%639K | -89.44%639K | --0 | --0 | --0 | --6.05M | --6.05M |
Current accrued expenses | -49.91%1.14M | -89.61%973K | -61.56%986K | -51.12%1.86M | -51.12%1.86M | -71.50%2.28M | -31.42%9.37M | -83.42%2.57M | -70.10%3.81M | -70.10%3.81M |
Current provisions | --797K | --780K | -95.57%297K | ---- | ---- | ---- | ---- | --6.71M | 110.00%6.11M | 110.00%6.11M |
Pension and other retirement benefit plans | -15.61%346K | -28.09%384K | -41.64%356K | -44.68%390K | -44.68%390K | -58.71%410K | -51.81%534K | -55.38%610K | -23.03%705K | -23.03%705K |
Current deferred liabilities | --3.97M | --3.82M | --3.62M | --4.36M | --4.36M | ---- | ---- | ---- | --0 | --0 |
Current liabilities | 17.77%6.85M | -47.61%6.79M | -59.21%6.14M | -60.51%8.98M | -60.51%8.98M | -80.43%5.81M | -84.90%12.96M | -67.97%15.05M | -50.00%22.73M | -50.00%22.73M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 459.09%369K | 0.78%388K | -71.23%401K | -80.47%446K | -80.47%446K | -98.30%66K | -92.44%385K | -97.16%1.39M | -95.92%2.28M | -95.92%2.28M |
-Long term capital lease obligation | 459.09%369K | 0.78%388K | -71.23%401K | -80.47%446K | -80.47%446K | -98.30%66K | -92.44%385K | -92.11%1.39M | -87.67%2.28M | -87.67%2.28M |
Long term provisions | ---- | ---- | ---- | ---- | ---- | 3.59%38.36M | 18.10%39.27M | 16.30%41.54M | 15.39%41.94M | 15.39%41.94M |
Non current deferred liabilities | 615.39%14.13M | 592.51%13.68M | 565.16%13.14M | 874.80%12.11M | 874.80%12.11M | -16.10%1.98M | -77.11%1.98M | -74.76%1.98M | -87.97%1.24M | -87.97%1.24M |
Total non current liabilities | -64.11%14.5M | -66.21%14.07M | -69.86%13.54M | -72.39%12.55M | -72.39%12.55M | -6.63%40.4M | -11.38%41.63M | -51.53%44.91M | -55.85%45.46M | -55.85%45.46M |
Total liabilities | -53.81%21.34M | -61.79%20.85M | -67.18%19.68M | -68.43%21.53M | -68.43%21.53M | -36.68%46.21M | -58.90%54.58M | -57.07%59.97M | -54.05%68.19M | -54.05%68.19M |
Shareholders'equity | ||||||||||
Share capital | 0.73%415.56M | 2.08%415.56M | 4.72%415.56M | 4.56%414.9M | 4.56%414.9M | 5.25%412.53M | 3.86%407.09M | 2.07%396.82M | 2.07%396.82M | 2.07%396.82M |
-common stock | 0.73%415.56M | 2.08%415.56M | 4.72%415.56M | 4.56%414.9M | 4.56%414.9M | 5.25%412.53M | 3.86%407.09M | 2.07%396.82M | 2.07%396.82M | 2.07%396.82M |
Retained earnings | -36.24%-409.1M | -38.76%-403.41M | -41.74%-396.23M | -48.53%-391.17M | -48.53%-391.17M | -20.70%-300.28M | -53.27%-290.73M | -63.60%-279.54M | -66.75%-263.35M | -66.75%-263.35M |
Gains losses not affecting retained earnings | 169.85%6.81M | 189.59%6.71M | 232.47%5.1M | 89.93%-567K | 89.93%-567K | -11.31%-9.76M | -114.91%-7.49M | -136.00%-3.85M | -121.67%-5.63M | -121.67%-5.63M |
Other equity interest | 0.57%61.34M | 0.78%61.25M | 1.38%61.17M | 2.70%61.75M | 2.70%61.75M | 2.23%60.99M | --60.78M | 2.72%60.34M | 4.68%60.13M | 4.68%60.13M |
Total stockholders'equity | -54.36%74.61M | -52.78%80.11M | -50.74%85.6M | -54.82%84.92M | -54.82%84.92M | -15.76%163.48M | -32.82%169.65M | -39.53%173.77M | -40.19%187.97M | -40.19%187.97M |
Total equity | -54.36%74.61M | -52.78%80.11M | -50.74%85.6M | -54.82%84.92M | -54.82%84.92M | -15.76%163.48M | -32.82%169.65M | -39.53%173.77M | -40.19%187.97M | -40.19%187.97M |
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 with Explanatory Notes | -- | -- | -- | -- | -- | -- |
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.