CA Stock MarketDetailed Quotes

PPL Pembina Pipeline Corp

Watchlist
  • 51.360
  • +0.040+0.08%
15min DelayMarket Closed Jul 16 16:00 ET
29.76BMarket Cap16.51P/E (TTM)

Pembina Pipeline Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
1,732.26%1.7B
45.74%137M
45.74%137M
-70.75%86M
-19.72%57M
232.14%93M
118.60%94M
118.60%94M
162.50%294M
24.56%71M
-Cash and cash equivalents
1,732.26%1.7B
45.74%137M
45.74%137M
-70.75%86M
-19.72%57M
232.14%93M
118.60%94M
118.60%94M
162.50%294M
24.56%71M
-Accounts receivable
41.16%1.02B
0.29%698M
0.29%698M
-5.49%843M
-27.78%715M
-29.16%724M
-6.33%696M
-6.33%696M
7.99%892M
31.82%990M
-Due from related parties current
----
-14.29%36M
-14.29%36M
----
----
----
500.00%42M
500.00%42M
----
----
-Other receivables
----
6.42%580M
6.42%580M
----
----
----
32.60%545M
32.60%545M
----
----
Prepaid assets
-0.41%2.2B
-0.41%2.2B
-0.41%2.2B
-12.31%2.2B
-12.30%2.2B
-12.25%2.21B
-12.28%2.21B
-12.28%2.21B
-0.36%2.51B
-0.40%2.51B
Holding assets for sale
----
----
----
----
----
----
----
----
--86M
--3.11B
Total current assets
195.06%3.05B
93.32%2.63B
93.32%2.63B
-21.55%1.29B
-77.49%1.02B
-21.92%1.03B
9.40%1.36B
9.40%1.36B
28.87%1.65B
306.94%4.51B
Non current assets
-Accumulated depreciation
-4.54%-4.07B
-4.49%-3.96B
-4.49%-3.96B
-10.80%-4.09B
-11.16%-4B
3.04%-3.9B
3.49%-3.79B
3.49%-3.79B
-7.11%-3.69B
-8.53%-3.6B
-Long term equity investment
11.77%11.22B
-1.70%10.42B
-1.70%10.42B
3.19%10.49B
2.53%10.53B
-6.75%10.04B
-2.56%10.6B
-2.56%10.6B
-6.63%10.16B
-11.99%10.27B
-Including:Held to maturity investments
-44.64%31M
-36.78%55M
-36.78%55M
-65.66%34M
63.64%90M
21.74%56M
521.43%87M
521.43%87M
230.00%99M
120.00%55M
Financial assets
-81.58%7M
-40.48%25M
-40.48%25M
-52.38%30M
-62.50%36M
-79.01%38M
-48.15%42M
-48.15%42M
--63M
--96M
Non current note receivables
10.89%275M
9.20%285M
9.20%285M
-6.01%219M
-5.86%225M
0.81%248M
1.56%261M
1.56%261M
-23.61%233M
-21.12%239M
-Goodwill
-0.88%6.06B
-1.08%6.07B
-1.08%6.07B
0.54%6.1B
1.03%6.09B
-1.59%6.12B
-1.72%6.13B
-1.72%6.13B
-3.50%6.06B
-4.03%6.03B
Regulatory assets
41.16%1.02B
-7.42%798M
-7.42%798M
-5.49%843M
-27.78%715M
-29.16%724M
10.51%862M
10.51%862M
7.99%892M
31.82%990M
Non current deferred assets
13.43%228M
5.02%230M
5.02%230M
7.34%234M
-11.26%197M
-8.64%201M
3.79%219M
3.79%219M
2.35%218M
3.26%222M
Total assets
----
--0
--0
----
----
----
--73M
--73M
----
----
Liabilities
Current liabilities
Current debt and capital lease obligation
-52.45%631M
7.07%727M
7.07%727M
-35.76%724M
-53.35%725M
28.34%1.33B
-37.59%679M
-37.59%679M
13.84%1.13B
216.50%1.55B
-Current debt
-56.00%550M
8.33%650M
8.33%650M
-38.10%650M
-55.93%650M
31.58%1.25B
-40.00%600M
-40.00%600M
16.67%1.05B
269.67%1.48B
-Current capital lease obligation
5.19%81M
-2.53%77M
-2.53%77M
-3.90%74M
-5.06%75M
-8.33%77M
-10.23%79M
-10.23%79M
-14.44%77M
-14.13%79M
-accounts payable
13.07%917M
-2.80%555M
-2.80%555M
4.11%1.06B
-22.78%807M
-23.42%811M
-8.64%571M
-8.64%571M
1.39%1.02B
27.44%1.05B
-Total tax payable
10.11%14.35B
-0.41%13.58B
-0.41%13.58B
2.69%13.42B
1.55%13.57B
-9.87%13.04B
-7.23%13.64B
-7.23%13.64B
-11.35%13.07B
-13.65%13.37B
-Dividends payable
----
----
----
----
----
----
----
----
3.45%120M
0.86%117M
-Due to related parties current
----
-99.33%1M
-99.33%1M
----
----
----
455.56%150M
455.56%150M
----
----
-Other payable
155.56%138M
33.33%72M
33.33%72M
73.47%85M
--50M
--54M
92.86%54M
92.86%54M
--49M
----
Current deferred liabilities
-19.30%46M
-41.07%33M
-41.07%33M
-17.14%58M
-12.77%82M
-29.63%57M
-21.13%56M
-21.13%56M
-10.26%70M
17.50%94M
Current liabilities
31.33%2.95B
56.51%3.22B
56.51%3.22B
-19.85%1.91B
-53.34%1.65B
-6.65%2.25B
-13.89%2.06B
-13.89%2.06B
1.40%2.39B
119.27%3.53B
Non current liabilities
-Long term debt
-2.72%572M
-4.87%567M
-4.87%567M
-4.91%562M
-4.17%575M
-4.23%588M
-6.14%596M
-6.14%596M
-9.77%591M
-9.91%600M
Non current accrued expenses
2.18%16.4B
1.78%16.32B
1.78%16.32B
-0.09%16.01B
-0.06%16.04B
-13.90%16.05B
-14.58%16.04B
-14.58%16.04B
-16.37%16.03B
-15.87%16.05B
Long term provisions
12.68%10.65B
-1.51%9.85B
-1.51%9.85B
3.69%9.92B
2.95%9.95B
-6.91%9.45B
-2.33%10B
-2.33%10B
-6.42%9.57B
-12.12%9.67B
Total non current liabilities
13.23%17.3B
7.05%16.81B
7.05%16.81B
-0.79%15.34B
-9.91%15.22B
-9.41%15.28B
-8.16%15.7B
-8.16%15.7B
-9.59%15.46B
-1.14%16.9B
Shareholders'equity
Share capital
-0.21%17.96B
-0.21%17.96B
-0.21%17.96B
-2.11%17.97B
-2.58%17.97B
-1.50%18B
-1.07%18B
-1.07%18B
0.90%18.35B
1.42%18.44B
-common stock
-0.18%15.77B
-0.18%15.77B
-0.18%15.77B
-0.49%15.76B
-1.04%15.76B
0.21%15.8B
0.73%15.79B
0.73%15.79B
1.10%15.84B
1.71%15.93B
Gains losses not affecting retained earnings
-5.21%309M
-35.19%221M
-35.19%221M
-6.59%340M
135.85%250M
16,400.00%326M
1,117.86%341M
1,117.86%341M
3,540.00%364M
197.25%106M
Other equity interest
----
--1.26B
--1.26B
----
----
----
----
----
----
----
Noncontrolling interests
-3.18%7.07B
-5.35%6.99B
-5.35%6.99B
-6.70%7B
57.82%7.16B
60.36%7.3B
59.71%7.38B
59.71%7.38B
71.23%7.5B
4.42%4.54B
Total equity
7.04%33.22B
3.59%32.62B
3.59%32.62B
-2.62%30.97B
-2.75%30.81B
-1.08%31.04B
0.10%31.49B
0.10%31.49B
0.19%31.8B
0.92%31.68B
(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(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 1,732.26%1.7B45.74%137M45.74%137M-70.75%86M-19.72%57M232.14%93M118.60%94M118.60%94M162.50%294M24.56%71M
-Cash and cash equivalents 1,732.26%1.7B45.74%137M45.74%137M-70.75%86M-19.72%57M232.14%93M118.60%94M118.60%94M162.50%294M24.56%71M
-Accounts receivable 41.16%1.02B0.29%698M0.29%698M-5.49%843M-27.78%715M-29.16%724M-6.33%696M-6.33%696M7.99%892M31.82%990M
-Due from related parties current -----14.29%36M-14.29%36M------------500.00%42M500.00%42M--------
-Other receivables ----6.42%580M6.42%580M------------32.60%545M32.60%545M--------
Prepaid assets -0.41%2.2B-0.41%2.2B-0.41%2.2B-12.31%2.2B-12.30%2.2B-12.25%2.21B-12.28%2.21B-12.28%2.21B-0.36%2.51B-0.40%2.51B
Holding assets for sale ----------------------------------86M--3.11B
Total current assets 195.06%3.05B93.32%2.63B93.32%2.63B-21.55%1.29B-77.49%1.02B-21.92%1.03B9.40%1.36B9.40%1.36B28.87%1.65B306.94%4.51B
Non current assets
-Accumulated depreciation -4.54%-4.07B-4.49%-3.96B-4.49%-3.96B-10.80%-4.09B-11.16%-4B3.04%-3.9B3.49%-3.79B3.49%-3.79B-7.11%-3.69B-8.53%-3.6B
-Long term equity investment 11.77%11.22B-1.70%10.42B-1.70%10.42B3.19%10.49B2.53%10.53B-6.75%10.04B-2.56%10.6B-2.56%10.6B-6.63%10.16B-11.99%10.27B
-Including:Held to maturity investments -44.64%31M-36.78%55M-36.78%55M-65.66%34M63.64%90M21.74%56M521.43%87M521.43%87M230.00%99M120.00%55M
Financial assets -81.58%7M-40.48%25M-40.48%25M-52.38%30M-62.50%36M-79.01%38M-48.15%42M-48.15%42M--63M--96M
Non current note receivables 10.89%275M9.20%285M9.20%285M-6.01%219M-5.86%225M0.81%248M1.56%261M1.56%261M-23.61%233M-21.12%239M
-Goodwill -0.88%6.06B-1.08%6.07B-1.08%6.07B0.54%6.1B1.03%6.09B-1.59%6.12B-1.72%6.13B-1.72%6.13B-3.50%6.06B-4.03%6.03B
Regulatory assets 41.16%1.02B-7.42%798M-7.42%798M-5.49%843M-27.78%715M-29.16%724M10.51%862M10.51%862M7.99%892M31.82%990M
Non current deferred assets 13.43%228M5.02%230M5.02%230M7.34%234M-11.26%197M-8.64%201M3.79%219M3.79%219M2.35%218M3.26%222M
Total assets ------0--0--------------73M--73M--------
Liabilities
Current liabilities
Current debt and capital lease obligation -52.45%631M7.07%727M7.07%727M-35.76%724M-53.35%725M28.34%1.33B-37.59%679M-37.59%679M13.84%1.13B216.50%1.55B
-Current debt -56.00%550M8.33%650M8.33%650M-38.10%650M-55.93%650M31.58%1.25B-40.00%600M-40.00%600M16.67%1.05B269.67%1.48B
-Current capital lease obligation 5.19%81M-2.53%77M-2.53%77M-3.90%74M-5.06%75M-8.33%77M-10.23%79M-10.23%79M-14.44%77M-14.13%79M
-accounts payable 13.07%917M-2.80%555M-2.80%555M4.11%1.06B-22.78%807M-23.42%811M-8.64%571M-8.64%571M1.39%1.02B27.44%1.05B
-Total tax payable 10.11%14.35B-0.41%13.58B-0.41%13.58B2.69%13.42B1.55%13.57B-9.87%13.04B-7.23%13.64B-7.23%13.64B-11.35%13.07B-13.65%13.37B
-Dividends payable --------------------------------3.45%120M0.86%117M
-Due to related parties current -----99.33%1M-99.33%1M------------455.56%150M455.56%150M--------
-Other payable 155.56%138M33.33%72M33.33%72M73.47%85M--50M--54M92.86%54M92.86%54M--49M----
Current deferred liabilities -19.30%46M-41.07%33M-41.07%33M-17.14%58M-12.77%82M-29.63%57M-21.13%56M-21.13%56M-10.26%70M17.50%94M
Current liabilities 31.33%2.95B56.51%3.22B56.51%3.22B-19.85%1.91B-53.34%1.65B-6.65%2.25B-13.89%2.06B-13.89%2.06B1.40%2.39B119.27%3.53B
Non current liabilities
-Long term debt -2.72%572M-4.87%567M-4.87%567M-4.91%562M-4.17%575M-4.23%588M-6.14%596M-6.14%596M-9.77%591M-9.91%600M
Non current accrued expenses 2.18%16.4B1.78%16.32B1.78%16.32B-0.09%16.01B-0.06%16.04B-13.90%16.05B-14.58%16.04B-14.58%16.04B-16.37%16.03B-15.87%16.05B
Long term provisions 12.68%10.65B-1.51%9.85B-1.51%9.85B3.69%9.92B2.95%9.95B-6.91%9.45B-2.33%10B-2.33%10B-6.42%9.57B-12.12%9.67B
Total non current liabilities 13.23%17.3B7.05%16.81B7.05%16.81B-0.79%15.34B-9.91%15.22B-9.41%15.28B-8.16%15.7B-8.16%15.7B-9.59%15.46B-1.14%16.9B
Shareholders'equity
Share capital -0.21%17.96B-0.21%17.96B-0.21%17.96B-2.11%17.97B-2.58%17.97B-1.50%18B-1.07%18B-1.07%18B0.90%18.35B1.42%18.44B
-common stock -0.18%15.77B-0.18%15.77B-0.18%15.77B-0.49%15.76B-1.04%15.76B0.21%15.8B0.73%15.79B0.73%15.79B1.10%15.84B1.71%15.93B
Gains losses not affecting retained earnings -5.21%309M-35.19%221M-35.19%221M-6.59%340M135.85%250M16,400.00%326M1,117.86%341M1,117.86%341M3,540.00%364M197.25%106M
Other equity interest ------1.26B--1.26B----------------------------
Noncontrolling interests -3.18%7.07B-5.35%6.99B-5.35%6.99B-6.70%7B57.82%7.16B60.36%7.3B59.71%7.38B59.71%7.38B71.23%7.5B4.42%4.54B
Total equity 7.04%33.22B3.59%32.62B3.59%32.62B-2.62%30.97B-2.75%30.81B-1.08%31.04B0.10%31.49B0.10%31.49B0.19%31.8B0.92%31.68B

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.

Heat List
CA
Overall
Symbol
Latest Price
%Chg