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CANADIAN UTILITIES CUM RED 2ND PRF SER'AA' (CDNUF)

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  • 19.819
  • 0.0000.00%
15min DelayTrading May 8 09:30 ET
118.91MMarket Cap0.00P/E (TTM)

CANADIAN UTILITIES CUM RED 2ND PRF SER'AA' (CDNUF) Cash Flow

Quarterly·All
YOY yoy
Hide blank lines yoy
Currency: CAD
2026/Q1
2025/Q4
2025/Q3
2025/Q2
2025/Q1
2024/Q4
2024/Q3
2024/Q2
2024/Q1
2023/Q4
2023/Q3
2023/Q2
2023/Q1
2022/Q4
2022/Q3
2022/Q2
2022/Q1
2021/Q4
2021/Q3
2021/Q2
Operating Cash Flow
-5.18%604.00M
-1.90%515.00M
+11.69%468.00M
-6.37%441.00M
+26.89%637.00M
+12.42%525.00M
+2.20%419.00M
+29.75%471.00M
-7.04%502.00M
-23.19%467.00M
+7.89%410.00M
-29.24%363.00M
-15.49%540.00M
+19.22%608.00M
+18.75%380.00M
+36.07%513.00M
+25.05%639.00M
+21.43%510.00M
+8.47%320.00M
-11.71%377.00M
Net cash flow from continuing operations
-5.18%604.00M
-1.90%515.00M
+11.69%468.00M
-6.37%441.00M
+26.89%637.00M
+12.42%525.00M
+2.20%419.00M
+29.75%471.00M
-7.04%502.00M
-23.19%467.00M
+7.89%410.00M
-29.24%363.00M
-15.49%540.00M
+19.22%608.00M
+18.75%380.00M
+36.07%513.00M
+25.05%639.00M
+21.43%510.00M
+8.47%320.00M
-11.71%377.00M
Net Income from Continuing Operations
-5.02%227.00M
-294.61%-325.00M
+628.57%102.00M
+75.38%114.00M
-2.45%239.00M
-11.17%167.00M
-88.89%14.00M
-39.25%65.00M
-17.23%245.00M
+27.89%188.00M
+14.55%126.00M
-30.07%107.00M
+29.26%296.00M
-17.42%147.00M
+50.68%110.00M
+2450.00%153.00M
+60.14%229.00M
+67.92%178.00M
-21.51%73.00M
-91.78%6.00M
Gain/Loss from Continuing Operations
+8.70%-21.00M
-36.84%-26.00M
-122.50%-18.00M
-357.14%-18.00M
+30.30%-23.00M
+76.25%-19.00M
+176.92%80.00M
+129.17%7.00M
+66.33%-33.00M
-1433.33%-80.00M
---104.00M
-340.00%-24.00M
-3166.67%-98.00M
+121.43%6.00M
----
+11.11%10.00M
+75.00%-3.00M
-2700.00%-28.00M
-200.00%-1.00M
+212.50%9.00M
Depreciation & Depletion & Amortization
+4.42%189.00M
+312.71%747.00M
+3.98%183.00M
+2.25%182.00M
+2.84%181.00M
-14.22%181.00M
+4.14%176.00M
+0.56%178.00M
+4.76%176.00M
+21.26%211.00M
+9.03%169.00M
+13.46%177.00M
+7.01%168.00M
+26.09%174.00M
+2.65%155.00M
-25.00%156.00M
+1.95%157.00M
-12.66%138.00M
+2.72%151.00M
+28.40%208.00M
Deferred Tax
+0.00%68.00M
-235.90%-53.00M
+1400.00%30.00M
+28.57%27.00M
-4.23%68.00M
-15.22%39.00M
-94.74%2.00M
-22.22%21.00M
-18.39%71.00M
+6.98%46.00M
+18.75%38.00M
-42.55%27.00M
+12.99%87.00M
-37.68%43.00M
+68.42%32.00M
+840.00%47.00M
+71.11%77.00M
+115.63%69.00M
-26.92%19.00M
-83.87%5.00M
Other Non-Cash Items
+44.34%153.00M
+34.65%171.00M
+0.81%125.00M
+12.80%141.00M
-11.67%106.00M
+17.59%127.00M
+10.71%124.00M
+23.76%125.00M
-7.69%120.00M
+36.71%108.00M
-7.44%112.00M
-30.34%101.00M
+2.36%130.00M
-37.80%79.00M
+12.04%121.00M
+7.41%145.00M
-9.29%127.00M
+17.59%127.00M
+31.71%108.00M
+60.71%135.00M
Change in Working Capital
-181.13%-43.00M
-100.00%-28.00M
+316.67%26.00M
-164.44%-29.00M
+151.96%53.00M
+64.10%-14.00M
-124.00%-12.00M
+195.74%45.00M
-56.92%-102.00M
-132.50%-39.00M
+194.34%50.00M
-113.64%-47.00M
-206.56%-65.00M
+4100.00%120.00M
-65.63%-53.00M
-246.67%-22.00M
-10.29%61.00M
+94.83%-3.00M
+30.43%-32.00M
-82.14%15.00M
Net cash flow from investing
+0.53%-373.00M
+4.73%-483.00M
-44.74%-385.00M
-27.48%-399.00M
-16.10%-375.00M
-41.62%-507.00M
+26.52%-266.00M
+21.95%-313.00M
+71.47%-323.00M
+18.82%-358.00M
-10.03%-362.00M
-28.94%-401.00M
-546.86%-1.13B
-34.45%-441.00M
-40.60%-329.00M
+40.65%-311.00M
+0.57%-175.00M
-33.33%-328.00M
-24.47%-234.00M
-124.89%-524.00M
Net Cash Flow from Continuing Investing Activities
+0.53%-373.00M
+4.73%-483.00M
-44.74%-385.00M
-27.48%-399.00M
-16.10%-375.00M
-41.62%-507.00M
+26.52%-266.00M
+21.95%-313.00M
+71.47%-323.00M
+18.82%-358.00M
-10.03%-362.00M
-28.94%-401.00M
-546.86%-1.13B
-34.45%-441.00M
-40.60%-329.00M
+40.65%-311.00M
+0.57%-175.00M
-33.33%-328.00M
-24.47%-234.00M
-124.89%-524.00M
Net PPE Purchase and Sale
+19.68%-302.00M
+30.42%-366.00M
+6.82%-355.00M
-13.95%-335.00M
-30.56%-376.00M
-52.02%-526.00M
-31.83%-381.00M
-0.68%-294.00M
-6.67%-288.00M
+14.36%-346.00M
+13.47%-289.00M
-14.51%-292.00M
-17.39%-270.00M
-30.32%-404.00M
-73.06%-334.00M
+32.89%-255.00M
-39.39%-230.00M
-45.54%-310.00M
-12.21%-193.00M
-113.48%-380.00M
Net Intangibles Purchase and Sale
-90.00%-38.00M
-34.48%-39.00M
-37.04%-37.00M
-33.33%-32.00M
+20.00%-20.00M
+29.27%-29.00M
+27.03%-27.00M
+31.43%-24.00M
+3.85%-25.00M
+4.65%-41.00M
-5.71%-37.00M
+2.78%-35.00M
+16.13%-26.00M
-59.26%-43.00M
+31.37%-35.00M
+2.70%-36.00M
-10.71%-31.00M
+22.86%-27.00M
-82.14%-51.00M
-516.67%-37.00M
Net Business Purchase and Sale
---2.00M
-3300.00%-34.00M
-102.65%-3.00M
+0.00%-2.00M
--0.00
---1.00M
+11400.00%113.00M
+88.89%-2.00M
+100.00%0.00
--0.00
+75.00%-1.00M
---18.00M
-17025.00%-677.00M
+100.00%0.00
+55.56%-4.00M
+100.00%0.00
+200.00%4.00M
---90.00M
-800.00%-9.00M
-166.67%-8.00M
Net Investment Purchase and Sale
+0.00%-3.00M
+0.00%-3.00M
+50.00%-1.00M
-33.33%-4.00M
-50.00%-3.00M
+0.00%-3.00M
+0.00%-2.00M
-50.00%-3.00M
+98.95%-2.00M
---3.00M
---2.00M
---2.00M
---190.00M
--0.00
--0.00
--0.00
--0.00
----
----
----
Net Other Investing Changes
-216.67%-28.00M
-178.85%-41.00M
-64.52%11.00M
-360.00%-26.00M
+400.00%24.00M
+62.50%52.00M
+193.94%31.00M
+118.52%10.00M
-125.81%-8.00M
+433.33%32.00M
-175.00%-33.00M
-170.00%-54.00M
-62.20%31.00M
-93.94%6.00M
+131.58%44.00M
+79.80%-20.00M
+290.48%82.00M
+4850.00%99.00M
+46.15%19.00M
-115.22%-99.00M
Financing Cash Flow
-106.77%-550.00M
+95.52%-12.00M
+426.50%616.00M
+95.80%-11.00M
+29.44%-266.00M
+16.25%-268.00M
+0.86%117.00M
+1.87%-262.00M
-183.41%-377.00M
+14.89%-320.00M
+149.15%116.00M
-560.34%-267.00M
+219.58%452.00M
-5271.43%-376.00M
-288.80%-236.00M
+118.41%58.00M
-34.52%-378.00M
+98.13%-7.00M
+283.82%125.00M
-20.69%-315.00M
Net Cash Flow from Continuing Financing Activities
-106.77%-550.00M
+95.52%-12.00M
+426.50%616.00M
+95.80%-11.00M
+29.44%-266.00M
+16.25%-268.00M
+0.86%117.00M
+1.87%-262.00M
-183.41%-377.00M
+14.89%-320.00M
+149.15%116.00M
-560.34%-267.00M
+219.58%452.00M
-5271.43%-376.00M
-288.80%-236.00M
+118.41%58.00M
-34.52%-378.00M
+98.13%-7.00M
+283.82%125.00M
-20.69%-315.00M
Net Issuance Payments Of Debt
-2820.00%-272.00M
+15650.00%315.00M
+130.18%900.00M
+25500.00%254.00M
+108.62%10.00M
+105.41%2.00M
+6.83%391.00M
+97.37%-1.00M
-116.57%-116.00M
+70.16%-37.00M
+4675.00%366.00M
-112.54%-38.00M
+548.72%700.00M
-395.24%-124.00M
-101.75%-8.00M
+6160.00%303.00M
-3800.00%-156.00M
+140.00%42.00M
+208.78%457.00M
+0.00%-5.00M
Net Common Stock Issuance
+100.00%6.00M
--8.00M
--1.00M
--6.00M
--3.00M
--0.00
-100.00%0.00
-100.00%0.00
--0.00
--0.00
--1.00M
+1600.00%17.00M
----
-100.00%0.00
--0.00
+101.64%1.00M
----
+116.67%2.00M
--0.00
---61.00M
Net Preferred Stock Issuance
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--201.00M
---110.00M
----
Cash Dividends Paid
-0.69%-145.00M
-0.70%-144.00M
-1.41%-144.00M
-7.52%-143.00M
-9.09%-144.00M
-9.16%-143.00M
-5.97%-142.00M
+1.48%-133.00M
+2.22%-132.00M
+1.50%-131.00M
+0.74%-134.00M
-1.50%-135.00M
-0.75%-135.00M
+1.48%-133.00M
-1.50%-135.00M
+2.21%-133.00M
+2.19%-134.00M
+1.46%-135.00M
+1.48%-133.00M
+0.00%-136.00M
Net Other Financing Charges
+25.00%-3.00M
-400.00%-5.00M
-9.09%-12.00M
-200.00%-6.00M
-33.33%-4.00M
+96.43%-1.00M
-22.22%-11.00M
-100.00%-2.00M
-50.00%-3.00M
-833.33%-28.00M
-350.00%-9.00M
+80.00%-1.00M
+0.00%-2.00M
+40.00%-3.00M
+75.00%-2.00M
-150.00%-5.00M
-100.00%-2.00M
-25.00%-5.00M
-300.00%-8.00M
+0.00%-2.00M
Ending Cash Balance
+532.93%355.00M
+938.75%671.00M
+276.30%651.00M
+45.26%-52.00M
-1011.11%-82.00M
-138.65%-80.00M
-58.51%173.00M
-137.55%-95.00M
-98.38%9.00M
-70.34%207.00M
-54.23%417.00M
-76.92%253.00M
-33.45%557.00M
-6.93%698.00M
+57.34%911.00M
+200.27%1.10B
+0.84%837.00M
-3.60%750.00M
-40.92%579.00M
-61.09%365.00M
Net Change in Cash
-7875.00%-319.00M
+108.00%20.00M
+158.89%699.00M
+129.81%31.00M
+97.98%-4.00M
-18.48%-250.00M
+64.63%270.00M
+65.90%-104.00M
-41.43%-198.00M
-0.96%-211.00M
+188.65%164.00M
-217.31%-305.00M
-262.79%-140.00M
-219.43%-209.00M
-187.68%-185.00M
+156.28%260.00M
+59.26%86.00M
+187.06%175.00M
+441.03%211.00M
-589.55%-462.00M
Beginning Cash Balance
+938.75%671.00M
+276.30%651.00M
+45.26%-52.00M
-1011.11%-82.00M
-138.65%-80.00M
-58.51%173.00M
-137.55%-95.00M
-98.38%9.00M
-70.34%207.00M
-54.23%417.00M
-76.92%253.00M
-33.45%557.00M
-6.93%698.00M
+57.34%911.00M
+200.27%1.10B
+0.84%837.00M
-3.60%750.00M
-40.92%579.00M
-61.09%365.00M
-17.00%830.00M
Effect of Exchange Rate Changes
+50.00%3.00M
+100.00%0.00
+300.00%4.00M
---1.00M
--2.00M
-400.00%-3.00M
---2.00M
-100.00%0.00
+100.00%0.00
--1.00M
--0.00
+200.00%1.00M
-200.00%-1.00M
----
----
+66.67%-1.00M
+150.00%1.00M
-300.00%-4.00M
+0.00%3.00M
-160.00%-3.00M
Free Cash Flow
+7.88%260.00M
+466.67%110.00M
+660.00%76.00M
-56.21%67.00M
+27.51%241.00M
-137.97%-30.00M
-88.10%10.00M
+325.00%153.00M
-21.90%189.00M
-50.63%79.00M
+663.64%84.00M
-83.78%36.00M
-35.98%242.00M
-7.51%160.00M
-85.53%11.00M
+641.46%222.00M
+30.80%378.00M
+0.58%173.00M
-15.56%76.00M
-116.94%-41.00M
Deadline
Mar 31, 2026
Dec 31, 2025
Sep 30, 2025
Jun 30, 2025
Mar 31, 2025
Dec 31, 2024
Sep 30, 2024
Jun 30, 2024
Mar 31, 2024
Dec 31, 2023
Sep 30, 2023
Jun 30, 2023
Mar 31, 2023
Dec 31, 2022
Sep 30, 2022
Jun 30, 2022
Mar 31, 2022
Dec 31, 2021
Sep 30, 2021
Jun 30, 2021
Accounting Standard
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2026/Q12025/Q42025/Q32025/Q22025/Q12024/Q42024/Q32024/Q22024/Q12023/Q42023/Q32023/Q22023/Q12022/Q42022/Q32022/Q22022/Q12021/Q42021/Q32021/Q2
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