46.73000 EUR
0.28
0.60%
Last update Jan 2, 9:04 AM CET
Market closed
Day range
46.73000
46.73000
Previous close
47.0099983
Open
46.73000
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TC Energy Corporation
46.73
0.28
0.60%

Financials

Cash flow

Fundamentals currency is CAD
Fiscal date 2024 2023 2022 2021
Operating activities 5.1B 5.4B 2.5B 3.9B
Net income 3.3B 3.1B 785M 2.0B
Depreciation 1.7B 2.8B 2.6B 2.5B
Deferred taxes 306.6M 11M 174M -185M
StockBased compensation
Other non cash items -462.7M -371M -298M -258M
Accounts receivable -8.1M -394M -575M -925M
Accounts payable 227.0M -206M -83M 890M
Other assets liabilities -70.3M 562M -72M -234M
Investing activities -2.6B -4.2B -2.9B -3.1B
Capital expenditures
Net intangibles
Net acquisitions -2.9B -4.5B -3.4B -1.2B
Purchase of investments -1.2B
Sale of investments
Other investing activity 277.4M 295M 519M -651M
Financing activities -2.4B 8.1B 487M -88M
Long term debt issuance 5.9B 15.9B 3.5B 11.2B
Long term debt payments -5.9B -3.8B -1.3B -7.8B
Short term debt issuance 212.1M -6.3B 766M 1.0B
Common stock issuance 54.7M 4M 1.9B 148M
Common stock repurchase 0 0 -1B -500M
Common dividends -2.5B -2.9B -3.3B -3.5B
Other financing charges -179.1M 5.2B -64M -748M
End cash position 498.2M 3.7B 620M 673M
Income tax paid
Interest paid
Free cash flow 832.2M -881M -352M 966M
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