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 | -3.76%4.93M | 25.69%4.14M | -24.24%1.51M | 239.58%7.11M | 239.58%7.11M | 7.78%5.13M | -44.46%3.29M | -61.64%1.99M | 26.08%2.1M | 26.08%2.1M |
-Cash and cash equivalents | -3.76%4.93M | 25.69%4.14M | -24.24%1.51M | -61.05%114.98K | -61.05%114.98K | 700.97%5.13M | 117.63%3.29M | -19.94%1.99M | -79.74%295.2K | -79.74%295.2K |
-Short term investments | --0 | --0 | --0 | 288.89%7M | 288.89%7M | --0 | --0 | --0 | 777.95%1.8M | 777.95%1.8M |
Receivables | 10.47%2.27M | 74.43%2.24M | 118.74%2.46M | 2.90%1.73M | 2.90%1.73M | 13.46%2.06M | -43.43%1.28M | -55.09%1.12M | -18.13%1.68M | -18.13%1.68M |
-Accounts receivable | -6.91%1.92M | 68.78%2.17M | 100.82%2.25M | -12.77%1.32M | -12.77%1.32M | 13.46%2.06M | -43.43%1.28M | -55.09%1.12M | -26.08%1.52M | -26.08%1.52M |
-Taxes receivable | --357.96K | --72.6K | --201.19K | 148.66%405.27K | 148.66%405.27K | ---- | ---- | ---- | --162.98K | --162.98K |
Prepaid assets | 337.36%157.09K | 710.23%402.86K | 197.79%234.41K | 225.42%218.94K | 225.42%218.94K | -73.72%35.92K | -90.79%49.72K | 15.21%78.72K | 292.40%67.28K | 292.40%67.28K |
Total current assets | 2.00%7.36M | 46.57%6.78M | 31.50%4.2M | 135.89%9.06M | 135.89%9.06M | 7.66%7.22M | -47.05%4.63M | -58.86%3.19M | 2.99%3.84M | 2.99%3.84M |
Non current assets | ||||||||||
Net PPE | 93.80%30.95M | 34.14%22.05M | 22.95%21.31M | 16.91%20.11M | 16.91%20.11M | -13.05%15.97M | 24.72%16.44M | 53.54%17.33M | 43.48%17.2M | 43.48%17.2M |
-Gross PPE | 46.80%69.85M | 26.85%59.47M | 21.23%56.77M | 19.04%54.55M | 19.04%54.55M | 9.53%47.58M | 24.53%46.88M | 33.67%46.83M | 30.98%45.83M | 30.98%45.83M |
-Accumulated depreciation | -23.05%-38.9M | -22.92%-37.42M | -20.23%-35.46M | -20.32%-34.45M | -20.32%-34.45M | -26.07%-31.61M | -24.43%-30.44M | -24.22%-29.5M | -24.47%-28.63M | -24.47%-28.63M |
Non current prepaid assets | 1.32%577.48K | 1.05%575.23K | 0.79%572.98K | 0.53%570.73K | 0.53%570.73K | 0.66%569.98K | 0.53%569.23K | 0.65%568.48K | 0.64%567.73K | 0.64%567.73K |
Total non current assets | 90.61%31.53M | 33.04%22.63M | 22.24%21.88M | 16.39%20.68M | 16.39%20.68M | -12.64%16.54M | 23.73%17.01M | 51.02%17.9M | 41.55%17.77M | 41.55%17.77M |
Total assets | 63.68%38.89M | 35.93%29.41M | 23.64%26.08M | 37.63%29.74M | 37.63%29.74M | -7.33%23.76M | -3.78%21.64M | 7.54%21.09M | 32.72%21.61M | 32.72%21.61M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 12,955.36%15.05M | 7,814.27%9.06M | 7,869.93%9.06M | 7,925.40%9.06M | 7,925.40%9.06M | 121.42%115.27K | 169.15%114.45K | 124.93%113.64K | 126.72%112.84K | 126.72%112.84K |
-Current debt | 24,900.00%15M | 14,900.00%9M | 14,900.00%9M | 14,900.00%9M | 14,900.00%9M | --60K | --60K | --60K | --60K | --60K |
-Current capital lease obligation | -11.97%48.65K | 6.17%57.81K | 6.17%56.95K | 6.17%56.1K | 6.17%56.1K | 6.17%55.27K | 28.05%54.45K | 6.17%53.64K | 6.17%52.84K | 6.17%52.84K |
Current provisions | -69.74%46.9K | -75.67%50K | -75.67%50K | -76.53%50K | -76.53%50K | -49.30%155K | -23.40%205.5K | -20.53%205.5K | -17.63%213K | -17.63%213K |
Current liabilities | 695.17%20.93M | 706.68%12.68M | 716.11%11.27M | 510.00%15.32M | 510.00%15.32M | -48.06%2.63M | -34.42%1.57M | -37.94%1.38M | 5.10%2.51M | 5.10%2.51M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | --0 | -92.08%4.98K | -74.25%19.75K | -62.05%34.31K | -62.05%34.31K | -70.32%48.65K | -66.25%62.78K | -59.70%76.7K | -55.52%90.41K | -55.52%90.41K |
-Long term capital lease obligation | --0 | -92.08%4.98K | -74.25%19.75K | -62.05%34.31K | -62.05%34.31K | -53.18%48.65K | -50.17%62.78K | -41.15%76.7K | -36.89%90.41K | -36.89%90.41K |
Long term provisions | 48.17%2.89M | 32.32%2.76M | 29.88%2.74M | 36.80%2.81M | 36.80%2.81M | 23.53%1.95M | 40.49%2.08M | 37.00%2.11M | 32.27%2.05M | 32.27%2.05M |
Total non current liabilities | 44.56%2.89M | 28.68%2.76M | 26.22%2.76M | 32.63%2.84M | 32.63%2.84M | 14.70%2M | 28.59%2.15M | 26.36%2.19M | 22.10%2.14M | 22.10%2.14M |
Total liabilities | 414.37%23.82M | 315.37%15.44M | 293.44%14.03M | 290.16%18.16M | 290.16%18.16M | -32.00%4.63M | -8.56%3.72M | -9.83%3.57M | 12.30%4.66M | 12.30%4.66M |
Shareholders'equity | ||||||||||
Share capital | 0.00%31.96M | 0.00%31.96M | 0.00%31.96M | 0.00%31.96M | 0.00%31.96M | 0.69%31.96M | 0.69%31.96M | 0.69%31.96M | 0.69%31.96M | 0.69%31.96M |
-common stock | 0.00%31.96M | 0.00%31.96M | 0.00%31.96M | 0.00%31.96M | 0.00%31.96M | 0.69%31.96M | 0.69%31.96M | 0.69%31.96M | 0.69%31.96M | 0.69%31.96M |
Additional paid-in capital | 0.00%1.3M | 0.00%1.3M | 0.00%1.3M | 0.00%1.3M | 0.00%1.3M | -7.48%1.3M | -7.48%1.3M | -7.48%1.3M | -7.48%1.3M | -7.48%1.3M |
Retained earnings | -28.73%-18.19M | -25.74%-19.29M | -34.82%-21.21M | -32.96%-21.68M | -32.96%-21.68M | 1.30%-14.13M | -4.17%-15.34M | 10.03%-15.74M | 22.39%-16.31M | 22.39%-16.31M |
Total stockholders'equity | -21.22%15.07M | -22.04%13.97M | -31.26%12.05M | -31.70%11.58M | -31.70%11.58M | 1.59%19.13M | -2.72%17.92M | 11.92%17.52M | 39.70%16.95M | 39.70%16.95M |
Total equity | -21.22%15.07M | -22.04%13.97M | -31.26%12.05M | -31.70%11.58M | -31.70%11.58M | 1.59%19.13M | -2.72%17.92M | 11.92%17.52M | 39.70%16.95M | 39.70%16.95M |
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 | -- | -- | -- | -- | 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.