US Stock MarketDetailed Quotes

ATGFF ALTAGAS LTD

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  • 22.484
  • 0.0000.00%
15min DelayTrading May 16 16:00 ET
6.66BMarket Cap14.86P/E (TTM)

ALTAGAS LTD 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
20.24%101M
79.25%95M
79.25%95M
-67.42%43M
-72.05%64M
-37.78%84M
-15.87%53M
-15.87%53M
-19.02%132M
458.54%229M
-Cash and cash equivalents
20.24%101M
79.25%95M
79.25%95M
-67.42%43M
-72.05%64M
-37.78%84M
-15.87%53M
-15.87%53M
-19.02%132M
458.54%229M
Receivables
9.47%1.81B
-11.81%1.84B
-11.81%1.84B
0.40%1.51B
-29.53%1.2B
-10.34%1.66B
46.53%2.09B
46.53%2.09B
24.09%1.5B
56.61%1.71B
-Accounts receivable
9.47%1.81B
-15.72%1.74B
-15.72%1.74B
0.40%1.51B
-29.53%1.2B
-10.34%1.66B
44.44%2.07B
44.44%2.07B
24.09%1.5B
56.61%1.71B
-Other receivables
----
101.54%131M
101.54%131M
----
----
----
85.71%65M
85.71%65M
----
----
-Recievables adjustments allowances
----
29.27%-29M
29.27%-29M
----
----
----
-5.13%-41M
-5.13%-41M
----
----
Inventory
-19.89%572M
-26.09%847M
-26.09%847M
-32.14%855M
-20.18%728M
13.33%714M
46.55%1.15B
46.55%1.15B
61.54%1.26B
66.42%912M
Prepaid assets
----
----
----
----
----
----
----
----
-7.83%106M
-36.08%101M
Restricted cash
----
----
----
----
----
----
----
----
--0
--0
Other current assets
5.56%266M
-0.97%205M
-0.97%205M
334.88%187M
671.43%216M
514.63%252M
-12.29%207M
-12.29%207M
616.67%43M
27.27%28M
Total current assets
1.65%2.83B
-34.35%3.05B
-34.35%3.05B
-35.00%2.66B
-41.36%2.32B
-13.47%2.79B
76.75%4.64B
76.75%4.64B
68.08%4.09B
99.85%3.95B
Non current assets
Net PPE
12.76%13.57B
9.18%13.07B
9.18%13.07B
4.25%12.37B
7.32%11.99B
6.02%12.04B
2.86%11.97B
2.86%11.97B
3.26%11.86B
-0.10%11.17B
-Gross PPE
12.76%13.57B
12.30%15.33B
12.30%15.33B
4.25%12.37B
7.32%11.99B
6.02%12.04B
1.27%13.65B
1.27%13.65B
3.26%11.86B
-0.10%11.17B
-Accumulated depreciation
----
-34.48%-2.27B
-34.48%-2.27B
----
----
----
8.77%-1.69B
8.77%-1.69B
----
----
Goodwill and other intangible assets
2.58%5.53B
0.17%5.42B
0.17%5.42B
-1.76%5.37B
1.91%5.27B
2.49%5.39B
1.27%5.41B
1.27%5.41B
4.09%5.47B
1.19%5.18B
-Goodwill
2.65%5.39B
0.38%5.27B
0.38%5.27B
-1.24%5.24B
2.51%5.14B
3.17%5.25B
1.88%5.25B
1.88%5.25B
4.96%5.31B
2.24%5.02B
-Other intangible assets
0.00%140M
-6.92%148M
-6.92%148M
-18.63%131M
-16.98%132M
-17.65%140M
-15.43%159M
-15.43%159M
-18.27%161M
-23.56%159M
Investments and advances
9.63%717M
4.89%686M
4.89%686M
2.57%678M
3.34%650M
6.34%654M
4.98%654M
4.98%654M
-25.98%661M
-27.87%629M
Non current accounts receivable
-20.48%66M
-6.67%70M
-6.67%70M
-24.18%69M
-3.45%84M
-2.35%83M
-5.06%75M
-5.06%75M
9.64%91M
-8.42%87M
Financial assets
151.61%78M
-25.97%57M
-25.97%57M
3.08%67M
5,000.00%102M
-41.51%31M
50.98%77M
50.98%77M
14.04%65M
-92.31%2M
Non current deferred assets
18.42%45M
25.00%45M
25.00%45M
136.84%45M
121.05%42M
100.00%38M
89.47%36M
89.47%36M
11.76%19M
11.76%19M
Non current prepaid assets
5.56%95M
5.62%94M
5.62%94M
6.90%93M
9.76%90M
11.11%90M
9.88%89M
9.88%89M
8.75%87M
5.13%82M
Defined pension benefit
21.05%667M
15.75%632M
15.75%632M
-25.13%560M
-22.40%544M
-18.49%551M
-20.18%546M
-20.18%546M
25.29%748M
20.86%701M
Other non current assets
-9.09%300M
-24.26%359M
-24.26%359M
-33.65%276M
-37.47%242M
-18.72%330M
3.72%474M
3.72%474M
3.23%416M
4.03%387M
Total non current assets
9.72%21.07B
5.69%20.43B
5.69%20.43B
0.56%19.53B
4.19%19.02B
3.54%19.2B
1.89%19.33B
1.89%19.33B
2.89%19.42B
-0.45%18.26B
Total assets
8.70%23.9B
-2.06%23.47B
-2.06%23.47B
-5.62%22.18B
-3.92%21.34B
1.02%21.99B
10.99%23.97B
10.99%23.97B
10.33%23.5B
9.31%22.21B
Liabilities
Current liabilities
Payables
9.92%1.66B
-2.05%1.86B
-2.05%1.86B
--1.58B
--1.28B
--1.51B
23.19%1.9B
23.19%1.9B
----
----
-accounts payable
9.92%1.66B
-2.05%1.86B
-2.05%1.86B
--1.58B
--1.28B
--1.51B
23.19%1.9B
23.19%1.9B
----
----
Current debt and capital lease obligation
-12.50%910M
71.21%1.23B
71.21%1.23B
12.11%1.41B
-10.41%835M
64.04%1.04B
-6.74%719M
-6.74%719M
233.78%1.26B
88.28%932M
-Current debt
-18.46%773M
81.94%1.13B
81.94%1.13B
13.97%1.32B
-10.29%750M
76.87%948M
-8.82%620M
-8.82%620M
298.63%1.16B
104.40%836M
-Current capital lease obligation
48.91%137M
4.04%103M
4.04%103M
-10.53%85M
-11.46%85M
-6.12%92M
8.79%99M
8.79%99M
11.76%95M
11.63%96M
Current deferred liabilities
8.20%66M
16.46%92M
16.46%92M
9.76%90M
-62.50%66M
8.93%61M
6.76%79M
6.76%79M
-15.46%82M
245.10%176M
Other current liabilities
-19.32%167M
-67.89%227M
-67.89%227M
-76.78%147M
-76.95%148M
-40.69%207M
163.81%707M
163.81%707M
106.86%633M
254.70%642M
Current liabilities
-0.53%2.81B
0.18%3.41B
0.18%3.41B
-14.28%3.22B
-37.14%2.32B
-2.79%2.82B
28.23%3.41B
28.23%3.41B
76.86%3.76B
91.65%3.7B
Non current liabilities
Long term provisions
-0.22%454M
-0.67%448M
-0.67%448M
0.00%456M
4.18%449M
6.81%455M
5.13%451M
5.13%451M
16.62%456M
14.93%431M
Long term debt and capital lease obligation
15.85%9B
-8.52%8.65B
-8.52%8.65B
-8.47%7.64B
7.14%7.81B
-2.31%7.77B
19.10%9.45B
19.10%9.45B
5.43%8.35B
-2.33%7.29B
-Long term debt
12.79%8.53B
-10.33%8.27B
-10.33%8.27B
-8.41%7.44B
7.91%7.61B
-1.84%7.57B
20.03%9.22B
20.03%9.22B
5.91%8.12B
-1.99%7.05B
-Long term capital lease obligation
129.56%466M
64.35%378M
64.35%378M
-10.48%205M
-16.24%196M
-17.14%203M
-9.09%230M
-9.09%230M
-9.13%229M
-11.70%234M
Non current deferred liabilities
12.77%1.67B
7.90%1.59B
7.90%1.59B
14.47%1.53B
18.51%1.51B
21.81%1.48B
17.52%1.47B
17.52%1.47B
11.17%1.33B
10.58%1.28B
Employee benefits
9.09%48M
5.26%100M
5.26%100M
-38.16%47M
-41.33%44M
-46.34%44M
-9.52%95M
-9.52%95M
-48.99%76M
-49.32%75M
Derivative product liabilities
-56.45%81M
-61.41%115M
-61.41%115M
-55.13%118M
-50.40%124M
3.91%186M
80.61%298M
80.61%298M
70.78%263M
106.61%250M
Other non current liabilities
8.94%1.41B
5.96%1.3B
5.96%1.3B
-15.16%1.28B
-12.08%1.26B
-15.17%1.3B
-15.34%1.23B
-15.34%1.23B
1.61%1.51B
-2.65%1.43B
Total non current liabilities
12.76%12.67B
-5.76%12.2B
-5.76%12.2B
-7.66%11.07B
4.12%11.2B
-1.34%11.23B
14.16%12.94B
14.16%12.94B
6.10%11.99B
0.20%10.75B
Total liabilities
10.09%15.47B
-4.52%15.61B
-4.52%15.61B
-9.24%14.3B
-6.44%13.52B
-1.64%14.05B
16.83%16.35B
16.83%16.35B
17.30%15.75B
14.13%14.45B
Shareholders'equity
Share capital
2.45%7.53B
2.23%7.51B
2.23%7.51B
0.07%7.35B
-2.48%7.35B
-2.35%7.35B
-5.94%7.35B
-5.94%7.35B
-5.93%7.35B
-3.50%7.54B
-common stock
5.54%7.14B
5.31%7.12B
5.31%7.12B
0.07%6.77B
0.19%6.77B
0.34%6.76B
0.39%6.76B
0.39%6.76B
0.42%6.76B
0.27%6.75B
-Preferred stock
-33.28%391M
-33.28%391M
-33.28%391M
0.00%586M
-25.45%586M
-25.45%586M
-45.54%586M
-45.54%586M
-45.59%586M
-27.02%786M
Retained earnings
35.95%-497M
28.46%-817M
28.46%-817M
24.09%-851M
27.73%-722M
19.17%-776M
8.13%-1.14B
8.13%-1.14B
-10.23%-1.12B
-2.78%-999M
Paid-in capital
-0.48%622M
-0.16%624M
-0.16%624M
0.16%625M
61.08%625M
60.67%625M
61.08%625M
61.08%625M
61.24%624M
0.78%388M
Gains losses not affecting retained earnings
-0.16%617M
-36.90%395M
-36.90%395M
-17.07%612M
194.33%415M
557.78%618M
9,042.86%626M
9,042.86%626M
1,657.14%738M
168.45%141M
Total stockholders'equity
5.82%8.27B
3.45%7.71B
3.45%7.71B
1.98%7.74B
8.50%7.67B
14.60%7.82B
7.30%7.46B
7.30%7.46B
5.07%7.59B
0.71%7.07B
Noncontrolling interests
32.50%159M
-7.41%150M
-7.41%150M
-9.76%148M
-78.63%147M
-81.79%120M
-75.15%162M
-75.15%162M
-74.85%164M
8.18%688M
Total equity
6.22%8.43B
3.22%7.86B
3.22%7.86B
1.73%7.89B
0.77%7.82B
6.11%7.94B
0.22%7.62B
0.22%7.62B
-1.55%7.75B
1.33%7.76B
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(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 20.24%101M79.25%95M79.25%95M-67.42%43M-72.05%64M-37.78%84M-15.87%53M-15.87%53M-19.02%132M458.54%229M
-Cash and cash equivalents 20.24%101M79.25%95M79.25%95M-67.42%43M-72.05%64M-37.78%84M-15.87%53M-15.87%53M-19.02%132M458.54%229M
Receivables 9.47%1.81B-11.81%1.84B-11.81%1.84B0.40%1.51B-29.53%1.2B-10.34%1.66B46.53%2.09B46.53%2.09B24.09%1.5B56.61%1.71B
-Accounts receivable 9.47%1.81B-15.72%1.74B-15.72%1.74B0.40%1.51B-29.53%1.2B-10.34%1.66B44.44%2.07B44.44%2.07B24.09%1.5B56.61%1.71B
-Other receivables ----101.54%131M101.54%131M------------85.71%65M85.71%65M--------
-Recievables adjustments allowances ----29.27%-29M29.27%-29M-------------5.13%-41M-5.13%-41M--------
Inventory -19.89%572M-26.09%847M-26.09%847M-32.14%855M-20.18%728M13.33%714M46.55%1.15B46.55%1.15B61.54%1.26B66.42%912M
Prepaid assets ---------------------------------7.83%106M-36.08%101M
Restricted cash ----------------------------------0--0
Other current assets 5.56%266M-0.97%205M-0.97%205M334.88%187M671.43%216M514.63%252M-12.29%207M-12.29%207M616.67%43M27.27%28M
Total current assets 1.65%2.83B-34.35%3.05B-34.35%3.05B-35.00%2.66B-41.36%2.32B-13.47%2.79B76.75%4.64B76.75%4.64B68.08%4.09B99.85%3.95B
Non current assets
Net PPE 12.76%13.57B9.18%13.07B9.18%13.07B4.25%12.37B7.32%11.99B6.02%12.04B2.86%11.97B2.86%11.97B3.26%11.86B-0.10%11.17B
-Gross PPE 12.76%13.57B12.30%15.33B12.30%15.33B4.25%12.37B7.32%11.99B6.02%12.04B1.27%13.65B1.27%13.65B3.26%11.86B-0.10%11.17B
-Accumulated depreciation -----34.48%-2.27B-34.48%-2.27B------------8.77%-1.69B8.77%-1.69B--------
Goodwill and other intangible assets 2.58%5.53B0.17%5.42B0.17%5.42B-1.76%5.37B1.91%5.27B2.49%5.39B1.27%5.41B1.27%5.41B4.09%5.47B1.19%5.18B
-Goodwill 2.65%5.39B0.38%5.27B0.38%5.27B-1.24%5.24B2.51%5.14B3.17%5.25B1.88%5.25B1.88%5.25B4.96%5.31B2.24%5.02B
-Other intangible assets 0.00%140M-6.92%148M-6.92%148M-18.63%131M-16.98%132M-17.65%140M-15.43%159M-15.43%159M-18.27%161M-23.56%159M
Investments and advances 9.63%717M4.89%686M4.89%686M2.57%678M3.34%650M6.34%654M4.98%654M4.98%654M-25.98%661M-27.87%629M
Non current accounts receivable -20.48%66M-6.67%70M-6.67%70M-24.18%69M-3.45%84M-2.35%83M-5.06%75M-5.06%75M9.64%91M-8.42%87M
Financial assets 151.61%78M-25.97%57M-25.97%57M3.08%67M5,000.00%102M-41.51%31M50.98%77M50.98%77M14.04%65M-92.31%2M
Non current deferred assets 18.42%45M25.00%45M25.00%45M136.84%45M121.05%42M100.00%38M89.47%36M89.47%36M11.76%19M11.76%19M
Non current prepaid assets 5.56%95M5.62%94M5.62%94M6.90%93M9.76%90M11.11%90M9.88%89M9.88%89M8.75%87M5.13%82M
Defined pension benefit 21.05%667M15.75%632M15.75%632M-25.13%560M-22.40%544M-18.49%551M-20.18%546M-20.18%546M25.29%748M20.86%701M
Other non current assets -9.09%300M-24.26%359M-24.26%359M-33.65%276M-37.47%242M-18.72%330M3.72%474M3.72%474M3.23%416M4.03%387M
Total non current assets 9.72%21.07B5.69%20.43B5.69%20.43B0.56%19.53B4.19%19.02B3.54%19.2B1.89%19.33B1.89%19.33B2.89%19.42B-0.45%18.26B
Total assets 8.70%23.9B-2.06%23.47B-2.06%23.47B-5.62%22.18B-3.92%21.34B1.02%21.99B10.99%23.97B10.99%23.97B10.33%23.5B9.31%22.21B
Liabilities
Current liabilities
Payables 9.92%1.66B-2.05%1.86B-2.05%1.86B--1.58B--1.28B--1.51B23.19%1.9B23.19%1.9B--------
-accounts payable 9.92%1.66B-2.05%1.86B-2.05%1.86B--1.58B--1.28B--1.51B23.19%1.9B23.19%1.9B--------
Current debt and capital lease obligation -12.50%910M71.21%1.23B71.21%1.23B12.11%1.41B-10.41%835M64.04%1.04B-6.74%719M-6.74%719M233.78%1.26B88.28%932M
-Current debt -18.46%773M81.94%1.13B81.94%1.13B13.97%1.32B-10.29%750M76.87%948M-8.82%620M-8.82%620M298.63%1.16B104.40%836M
-Current capital lease obligation 48.91%137M4.04%103M4.04%103M-10.53%85M-11.46%85M-6.12%92M8.79%99M8.79%99M11.76%95M11.63%96M
Current deferred liabilities 8.20%66M16.46%92M16.46%92M9.76%90M-62.50%66M8.93%61M6.76%79M6.76%79M-15.46%82M245.10%176M
Other current liabilities -19.32%167M-67.89%227M-67.89%227M-76.78%147M-76.95%148M-40.69%207M163.81%707M163.81%707M106.86%633M254.70%642M
Current liabilities -0.53%2.81B0.18%3.41B0.18%3.41B-14.28%3.22B-37.14%2.32B-2.79%2.82B28.23%3.41B28.23%3.41B76.86%3.76B91.65%3.7B
Non current liabilities
Long term provisions -0.22%454M-0.67%448M-0.67%448M0.00%456M4.18%449M6.81%455M5.13%451M5.13%451M16.62%456M14.93%431M
Long term debt and capital lease obligation 15.85%9B-8.52%8.65B-8.52%8.65B-8.47%7.64B7.14%7.81B-2.31%7.77B19.10%9.45B19.10%9.45B5.43%8.35B-2.33%7.29B
-Long term debt 12.79%8.53B-10.33%8.27B-10.33%8.27B-8.41%7.44B7.91%7.61B-1.84%7.57B20.03%9.22B20.03%9.22B5.91%8.12B-1.99%7.05B
-Long term capital lease obligation 129.56%466M64.35%378M64.35%378M-10.48%205M-16.24%196M-17.14%203M-9.09%230M-9.09%230M-9.13%229M-11.70%234M
Non current deferred liabilities 12.77%1.67B7.90%1.59B7.90%1.59B14.47%1.53B18.51%1.51B21.81%1.48B17.52%1.47B17.52%1.47B11.17%1.33B10.58%1.28B
Employee benefits 9.09%48M5.26%100M5.26%100M-38.16%47M-41.33%44M-46.34%44M-9.52%95M-9.52%95M-48.99%76M-49.32%75M
Derivative product liabilities -56.45%81M-61.41%115M-61.41%115M-55.13%118M-50.40%124M3.91%186M80.61%298M80.61%298M70.78%263M106.61%250M
Other non current liabilities 8.94%1.41B5.96%1.3B5.96%1.3B-15.16%1.28B-12.08%1.26B-15.17%1.3B-15.34%1.23B-15.34%1.23B1.61%1.51B-2.65%1.43B
Total non current liabilities 12.76%12.67B-5.76%12.2B-5.76%12.2B-7.66%11.07B4.12%11.2B-1.34%11.23B14.16%12.94B14.16%12.94B6.10%11.99B0.20%10.75B
Total liabilities 10.09%15.47B-4.52%15.61B-4.52%15.61B-9.24%14.3B-6.44%13.52B-1.64%14.05B16.83%16.35B16.83%16.35B17.30%15.75B14.13%14.45B
Shareholders'equity
Share capital 2.45%7.53B2.23%7.51B2.23%7.51B0.07%7.35B-2.48%7.35B-2.35%7.35B-5.94%7.35B-5.94%7.35B-5.93%7.35B-3.50%7.54B
-common stock 5.54%7.14B5.31%7.12B5.31%7.12B0.07%6.77B0.19%6.77B0.34%6.76B0.39%6.76B0.39%6.76B0.42%6.76B0.27%6.75B
-Preferred stock -33.28%391M-33.28%391M-33.28%391M0.00%586M-25.45%586M-25.45%586M-45.54%586M-45.54%586M-45.59%586M-27.02%786M
Retained earnings 35.95%-497M28.46%-817M28.46%-817M24.09%-851M27.73%-722M19.17%-776M8.13%-1.14B8.13%-1.14B-10.23%-1.12B-2.78%-999M
Paid-in capital -0.48%622M-0.16%624M-0.16%624M0.16%625M61.08%625M60.67%625M61.08%625M61.08%625M61.24%624M0.78%388M
Gains losses not affecting retained earnings -0.16%617M-36.90%395M-36.90%395M-17.07%612M194.33%415M557.78%618M9,042.86%626M9,042.86%626M1,657.14%738M168.45%141M
Total stockholders'equity 5.82%8.27B3.45%7.71B3.45%7.71B1.98%7.74B8.50%7.67B14.60%7.82B7.30%7.46B7.30%7.46B5.07%7.59B0.71%7.07B
Noncontrolling interests 32.50%159M-7.41%150M-7.41%150M-9.76%148M-78.63%147M-81.79%120M-75.15%162M-75.15%162M-74.85%164M8.18%688M
Total equity 6.22%8.43B3.22%7.86B3.22%7.86B1.73%7.89B0.77%7.82B6.11%7.94B0.22%7.62B0.22%7.62B-1.55%7.75B1.33%7.76B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
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