US Stock MarketDetailed Quotes

Fortis (FTS)

Watchlist
  • 54.710
  • -1.263-2.26%
Close May 15 15:59 ET
  • 54.710
  • 0.0000.00%
Post 16:10 ET
27.85BMarket Cap22.19P/E (TTM)

Fortis (FTS) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-9.07%1.1B
4.64%4.06B
5.82%1.02B
-23.24%1.03B
-1.23%804M
57.94%1.21B
9.51%3.88B
28.95%962M
42.34%1.34B
-13.77%814M
Net income from continuing operations
0.72%562M
7.28%1.96B
7.54%485M
-0.84%474M
14.73%444M
8.98%558M
6.90%1.83B
3.68%451M
7.42%478M
11.85%387M
Depreciation and amortization
3.30%532M
6.75%2.06B
2.40%512M
7.92%518M
6.67%512M
10.28%515M
8.69%1.93B
10.13%500M
8.35%480M
9.09%480M
Deferred tax
-53.03%31M
104.55%315M
247.62%146M
-26.23%45M
176.19%58M
120.00%66M
-43.38%154M
-72.55%42M
-4.69%61M
-12.50%21M
Other non cash items
-62.96%-44M
29.17%-68M
86.11%-5M
95.00%-1M
-250.00%-35M
10.00%-27M
-231.03%-96M
34.55%-36M
-186.96%-20M
-150.00%-10M
Change In working capital
-78.22%22M
-394.20%-203M
-2,500.00%-120M
-102.65%-9M
-173.44%-175M
147.87%101M
138.12%69M
102.07%5M
1,068.57%339M
-156.14%-64M
-Change in receivables
116.67%4M
-2,500.00%-52M
-116.47%-184M
150.00%50M
-17.19%106M
63.08%-24M
-101.41%-2M
69.53%-85M
129.41%20M
-38.46%128M
-Change in inventory
250.00%14M
38.36%-45M
90.48%-4M
47.06%-9M
18.18%-36M
-86.67%4M
-7,200.00%-73M
-800.00%-42M
75.36%-17M
-51.72%-44M
-Change in prepaid assets
-280.00%-9M
42.86%-12M
1.82%56M
-2.13%-48M
7.41%-25M
350.00%5M
-200.00%-21M
1.85%55M
-11.90%-47M
-42.11%-27M
-Change in payables and accrued expense
-54.14%61M
69.57%195M
2.09%195M
-85.24%40M
-8.13%-173M
171.12%133M
129.49%115M
4,875.00%191M
79.47%271M
-21.21%-160M
-Change in other current assets
50.00%-2M
-201.08%-94M
-721.43%-115M
103.70%1M
-42.86%24M
-104.35%-4M
-10.58%93M
54.84%-14M
-8.00%-27M
-74.39%42M
-Change in other current liabilities
62.16%-14M
-296.43%-110M
-307.69%-53M
-84.31%8M
-264.71%-28M
-3,800.00%-37M
-21.13%56M
-144.83%-13M
155.00%51M
-32.00%17M
-Change in other working capital
-233.33%-32M
14.14%-85M
82.76%-15M
-157.95%-51M
-115.00%-43M
130.00%24M
1.00%-99M
-443.75%-87M
4,500.00%88M
80.58%-20M
Cash from discontinued investing activities
Operating cash flow
-9.07%1.1B
4.64%4.06B
5.82%1.02B
-23.24%1.03B
-1.23%804M
57.94%1.21B
9.51%3.88B
28.95%962M
42.34%1.34B
-13.77%814M
Investing cash flow
Cash flow from continuing investing activities
3.79%-1.37B
0.70%-5.36B
25.33%-1.34B
17.67%-1.08B
-31.65%-1.51B
-25.11%-1.43B
-44.17%-5.4B
-140.11%-1.8B
-26.25%-1.31B
-13.23%-1.15B
Net PPE purchase and sale
-1.35%-1.5B
-18.56%-5.94B
0.68%-1.62B
-9.13%-1.36B
-39.00%-1.48B
-38.47%-1.48B
-25.74%-5.01B
-37.01%-1.63B
-31.09%-1.25B
-13.43%-1.06B
Net intangibles purchase and sale
25.00%-45M
-41.75%-292M
-18.75%-76M
-75.00%-91M
-35.42%-65M
-42.86%-60M
-12.57%-206M
-4.92%-64M
-67.74%-52M
-9.09%-48M
Net business purchase and sale
----
--452M
--181M
--298M
---27M
----
--0
--0
--0
--0
Net other investing changes
50.00%177M
340.11%425M
266.99%172M
669.23%74M
274.29%61M
553.85%118M
-5,800.00%-177M
-314.58%-103M
60.61%-13M
-12.90%-35M
Cash from discontinued investing activities
Investing cash flow
3.79%-1.37B
0.70%-5.36B
25.33%-1.34B
17.67%-1.08B
-31.65%-1.51B
-25.11%-1.43B
-44.17%-5.4B
-140.11%-1.8B
-26.25%-1.31B
-13.23%-1.15B
Financing cash flow
Cash flow from continuing financing activities
-49.10%254M
37.31%1.46B
144.00%305M
-30.38%220M
36.99%437M
64.14%499M
73.57%1.06B
193.28%125M
110.67%316M
52.63%319M
Net issuance payments of debt
-36.48%465M
18.98%2.31B
48.40%509M
-20.08%426M
17.24%646M
41.59%732M
37.39%1.94B
203.54%343M
54.05%533M
44.62%551M
Net common stock issuance
-28.00%18M
30.43%60M
25.00%15M
-15.38%11M
12.50%9M
92.31%25M
6.98%46M
33.33%12M
116.67%13M
-42.86%8M
Cash dividends paid
-7.98%-230M
-6.72%-873M
-7.01%-229M
-7.32%-220M
-4.46%-211M
-8.12%-213M
-6.51%-818M
-6.47%-214M
-6.77%-205M
-6.88%-202M
Net other financing activities
102.22%1M
63.89%-39M
162.50%10M
112.00%3M
81.58%-7M
-55.17%-45M
-40.26%-108M
70.91%-16M
-150.00%-25M
-1,366.67%-38M
Cash from discontinued financing activities
Financing cash flow
-49.10%254M
37.31%1.46B
144.00%305M
-30.38%220M
36.99%437M
64.14%499M
73.57%1.06B
193.28%125M
110.67%316M
52.63%319M
Net cash flow
Beginning cash position
66.82%367M
-64.80%220M
-56.58%389M
-60.61%221M
-10.37%510M
-64.80%220M
199.04%625M
17.12%896M
-18.70%561M
-1.22%569M
Current changes in cash
-104.88%-14M
136.97%166M
97.46%-18M
-51.32%166M
-1,821.43%-269M
528.36%287M
-207.93%-449M
-421.32%-709M
582.00%341M
-110.00%-14M
Effect of exchange rate changes
100.00%6M
-143.18%-19M
-112.12%-4M
133.33%2M
-433.33%-20M
-72.73%3M
--44M
353.85%33M
-140.00%-6M
185.71%6M
End cash Position
-29.61%359M
66.82%367M
66.82%367M
-56.58%389M
-60.61%221M
-10.37%510M
-64.80%220M
-64.80%220M
17.12%896M
-18.70%561M
Free cash flow
-34.85%-445M
-62.57%-2.17B
7.52%-676M
-1,221.05%-426M
-148.32%-740M
4.35%-330M
-114.10%-1.34B
-45.04%-731M
188.37%38M
-684.21%-298M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
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
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -9.07%1.1B4.64%4.06B5.82%1.02B-23.24%1.03B-1.23%804M57.94%1.21B9.51%3.88B28.95%962M42.34%1.34B-13.77%814M
Net income from continuing operations 0.72%562M7.28%1.96B7.54%485M-0.84%474M14.73%444M8.98%558M6.90%1.83B3.68%451M7.42%478M11.85%387M
Depreciation and amortization 3.30%532M6.75%2.06B2.40%512M7.92%518M6.67%512M10.28%515M8.69%1.93B10.13%500M8.35%480M9.09%480M
Deferred tax -53.03%31M104.55%315M247.62%146M-26.23%45M176.19%58M120.00%66M-43.38%154M-72.55%42M-4.69%61M-12.50%21M
Other non cash items -62.96%-44M29.17%-68M86.11%-5M95.00%-1M-250.00%-35M10.00%-27M-231.03%-96M34.55%-36M-186.96%-20M-150.00%-10M
Change In working capital -78.22%22M-394.20%-203M-2,500.00%-120M-102.65%-9M-173.44%-175M147.87%101M138.12%69M102.07%5M1,068.57%339M-156.14%-64M
-Change in receivables 116.67%4M-2,500.00%-52M-116.47%-184M150.00%50M-17.19%106M63.08%-24M-101.41%-2M69.53%-85M129.41%20M-38.46%128M
-Change in inventory 250.00%14M38.36%-45M90.48%-4M47.06%-9M18.18%-36M-86.67%4M-7,200.00%-73M-800.00%-42M75.36%-17M-51.72%-44M
-Change in prepaid assets -280.00%-9M42.86%-12M1.82%56M-2.13%-48M7.41%-25M350.00%5M-200.00%-21M1.85%55M-11.90%-47M-42.11%-27M
-Change in payables and accrued expense -54.14%61M69.57%195M2.09%195M-85.24%40M-8.13%-173M171.12%133M129.49%115M4,875.00%191M79.47%271M-21.21%-160M
-Change in other current assets 50.00%-2M-201.08%-94M-721.43%-115M103.70%1M-42.86%24M-104.35%-4M-10.58%93M54.84%-14M-8.00%-27M-74.39%42M
-Change in other current liabilities 62.16%-14M-296.43%-110M-307.69%-53M-84.31%8M-264.71%-28M-3,800.00%-37M-21.13%56M-144.83%-13M155.00%51M-32.00%17M
-Change in other working capital -233.33%-32M14.14%-85M82.76%-15M-157.95%-51M-115.00%-43M130.00%24M1.00%-99M-443.75%-87M4,500.00%88M80.58%-20M
Cash from discontinued investing activities
Operating cash flow -9.07%1.1B4.64%4.06B5.82%1.02B-23.24%1.03B-1.23%804M57.94%1.21B9.51%3.88B28.95%962M42.34%1.34B-13.77%814M
Investing cash flow
Cash flow from continuing investing activities 3.79%-1.37B0.70%-5.36B25.33%-1.34B17.67%-1.08B-31.65%-1.51B-25.11%-1.43B-44.17%-5.4B-140.11%-1.8B-26.25%-1.31B-13.23%-1.15B
Net PPE purchase and sale -1.35%-1.5B-18.56%-5.94B0.68%-1.62B-9.13%-1.36B-39.00%-1.48B-38.47%-1.48B-25.74%-5.01B-37.01%-1.63B-31.09%-1.25B-13.43%-1.06B
Net intangibles purchase and sale 25.00%-45M-41.75%-292M-18.75%-76M-75.00%-91M-35.42%-65M-42.86%-60M-12.57%-206M-4.92%-64M-67.74%-52M-9.09%-48M
Net business purchase and sale ------452M--181M--298M---27M------0--0--0--0
Net other investing changes 50.00%177M340.11%425M266.99%172M669.23%74M274.29%61M553.85%118M-5,800.00%-177M-314.58%-103M60.61%-13M-12.90%-35M
Cash from discontinued investing activities
Investing cash flow 3.79%-1.37B0.70%-5.36B25.33%-1.34B17.67%-1.08B-31.65%-1.51B-25.11%-1.43B-44.17%-5.4B-140.11%-1.8B-26.25%-1.31B-13.23%-1.15B
Financing cash flow
Cash flow from continuing financing activities -49.10%254M37.31%1.46B144.00%305M-30.38%220M36.99%437M64.14%499M73.57%1.06B193.28%125M110.67%316M52.63%319M
Net issuance payments of debt -36.48%465M18.98%2.31B48.40%509M-20.08%426M17.24%646M41.59%732M37.39%1.94B203.54%343M54.05%533M44.62%551M
Net common stock issuance -28.00%18M30.43%60M25.00%15M-15.38%11M12.50%9M92.31%25M6.98%46M33.33%12M116.67%13M-42.86%8M
Cash dividends paid -7.98%-230M-6.72%-873M-7.01%-229M-7.32%-220M-4.46%-211M-8.12%-213M-6.51%-818M-6.47%-214M-6.77%-205M-6.88%-202M
Net other financing activities 102.22%1M63.89%-39M162.50%10M112.00%3M81.58%-7M-55.17%-45M-40.26%-108M70.91%-16M-150.00%-25M-1,366.67%-38M
Cash from discontinued financing activities
Financing cash flow -49.10%254M37.31%1.46B144.00%305M-30.38%220M36.99%437M64.14%499M73.57%1.06B193.28%125M110.67%316M52.63%319M
Net cash flow
Beginning cash position 66.82%367M-64.80%220M-56.58%389M-60.61%221M-10.37%510M-64.80%220M199.04%625M17.12%896M-18.70%561M-1.22%569M
Current changes in cash -104.88%-14M136.97%166M97.46%-18M-51.32%166M-1,821.43%-269M528.36%287M-207.93%-449M-421.32%-709M582.00%341M-110.00%-14M
Effect of exchange rate changes 100.00%6M-143.18%-19M-112.12%-4M133.33%2M-433.33%-20M-72.73%3M--44M353.85%33M-140.00%-6M185.71%6M
End cash Position -29.61%359M66.82%367M66.82%367M-56.58%389M-60.61%221M-10.37%510M-64.80%220M-64.80%220M17.12%896M-18.70%561M
Free cash flow -34.85%-445M-62.57%-2.17B7.52%-676M-1,221.05%-426M-148.32%-740M4.35%-330M-114.10%-1.34B-45.04%-731M188.37%38M-684.21%-298M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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