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Teck Resources (TECK)

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  • 66.840
  • +0.870+1.32%
Close May 13 16:00 ET
  • 66.400
  • -0.440-0.66%
Pre 04:05 ET
32.72BMarket Cap24.30P/E (TTM)

Teck Resources (TECK) 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
298.83%1.02B
243.95%1.48B
-1.87%1.26B
299.38%647M
-67.16%88M
59.86%-515M
176.38%430M
8,118.75%1.28B
297.56%162M
-76.28%268M
Net income from continuing operations
158.47%809M
216.14%1.07B
115.16%525M
115.72%133M
213.48%101M
234.91%313M
-195.83%-923M
186.22%244M
-1,162.69%-846M
-118.98%-89M
Operating gains losses
65.38%-36M
47.22%-114M
57.38%-130M
-116.07%-9M
122.22%20M
-1,140.00%-104M
-12.50%-216M
-843.90%-305M
600.00%56M
160.00%9M
Depreciation and amortization
23.30%508M
1.80%1.76B
-21.03%413M
11.24%554M
5.00%378M
19.42%412M
86.59%1.73B
79.11%523M
71.72%498M
-16.47%360M
Deferred tax
284.67%527M
184.88%584M
2,125.00%267M
79.31%156M
-77.98%24M
4,666.67%137M
-13.50%205M
129.27%12M
-24.35%87M
-67.56%109M
Other non cash items
567.74%207M
-43.37%393M
33.54%215M
294.55%217M
-86.07%39M
-85.38%31M
122.44%694M
-17.86%161M
196.49%55M
38.61%280M
Change In working capital
-37.40%-834M
-254.35%-978M
-73.45%201M
41.88%-272M
-9.09%-300M
-109.31%-607M
49.17%-276M
1,582.22%757M
-74.63%-468M
-439.51%-275M
-Change in receivables
----
-175.79%-957M
----
----
----
----
-182.11%-347M
----
----
----
-Change in inventory
----
22.46%-290M
----
----
----
----
14.81%-374M
----
----
----
-Change in prepaid assets
----
-379.31%-139M
----
----
----
----
88.54%-29M
----
----
----
-Change in payables and accrued expense
----
-13.92%408M
----
----
----
----
74.26%474M
----
----
----
Cash from discontinued investing activities
0
0
0
0
0
-49.21%2.36B
-99.56%5M
-103.42%-28M
1.06B
Operating cash flow
298.83%1.02B
-46.99%1.48B
-2.25%1.26B
382.84%647M
-93.36%88M
-1,326.19%-515M
-31.68%2.79B
14.39%1.29B
-81.79%134M
17.35%1.33B
Investing cash flow
Cash flow from continuing investing activities
-91.53%-588M
-127.17%-1.91B
-20.11%-663M
-105.81%-526M
46.51%-414M
56.27%-307M
311.84%7.03B
37.41%-552M
986.20%9.06B
47.53%-774M
Capital expenditure reported
-73.03%-680M
21.75%-2.06B
-44.84%-730M
14.51%-536M
48.00%-403M
46.09%-393M
39.29%-2.64B
42.14%-504M
38.89%-627M
48.30%-775M
Net business purchase and sale
----
--0
--0
--0
----
----
835.21%9.48B
---160M
--9.64B
--0
Net investment purchase and sale
96.00%49M
-661.54%-99M
89.47%72M
-200.00%-54M
-326.09%-98M
350.00%25M
89.43%-13M
126.76%38M
-550.00%-18M
-195.83%-23M
Net other investing changes
----
----
----
-69.23%4M
60.00%16M
300.00%44M
61.76%55M
--21M
--13M
--10M
Cash from discontinued investing activities
Investing cash flow
-91.53%-588M
-130.94%-1.91B
-20.11%-663M
-105.84%-526M
65.67%-414M
71.55%-307M
229.77%6.17B
58.56%-552M
753.85%9.01B
18.24%-1.21B
Financing cash flow
Cash flow from continuing financing activities
77.35%-123M
26.07%-1.85B
69.81%-256M
91.76%-228M
-69.92%-819M
-133.96%-543M
-687.70%-2.5B
-147.95%-848M
-1,282.05%-2.77B
-273.64%-482M
Net issuance payments of debt
29.17%-34M
78.86%-537M
22.67%-232M
98.58%-29M
-14.00%-228M
-1,700.00%-48M
-354.38%-2.54B
-24.48%-300M
-7,144.83%-2.04B
13.04%-200M
Net common stock issuance
109.14%34M
7.77%-985M
101.86%9M
64.71%-138M
-179.77%-484M
-1,760.00%-372M
-471.12%-1.07B
-206.33%-484M
-5,685.71%-391M
-214.55%-173M
Cash dividends paid
3.17%-61M
52.14%-246M
3.17%-61M
81.06%-61M
4.69%-61M
3.08%-63M
0.19%-514M
1.56%-63M
-395.38%-322M
1.54%-64M
Net other financing activities
-100.00%-10M
-75.56%608M
-3.88%322M
-48.39%48M
-13.83%243M
-100.28%-5M
49.34%2.49B
-21.73%335M
-73.43%93M
-39.74%282M
Cash from discontinued financing activities
0
0
0
0
0
55.26%-68M
0
85.29%-5M
-28M
Financing cash flow
77.35%-123M
28.03%-1.85B
69.81%-256M
91.77%-228M
-60.59%-819M
-134.72%-543M
-446.91%-2.57B
-125.53%-848M
-1,485.50%-2.77B
-295.35%-510M
Net cash flow
Beginning cash position
-33.83%5.02B
919.76%7.59B
-34.22%4.76B
419.28%4.77B
379.85%6.21B
919.76%7.59B
-60.49%744M
438.35%7.23B
-48.22%918M
-42.83%1.3B
Current changes in cash
122.93%313M
-135.59%-2.28B
403.57%340M
-101.68%-107M
-193.59%-1.15B
-359.01%-1.37B
660.25%6.4B
80.76%-112M
1,541.86%6.37B
17.72%-390M
Effect of exchange rate changes
1,275.00%94M
-166.97%-298M
-117.91%-84M
257.38%96M
-2,423.08%-302M
-133.33%-8M
1,490.63%445M
2,858.82%469M
-608.33%-61M
154.17%13M
End cash Position
-12.66%5.43B
-33.94%5.01B
-33.94%5.01B
-34.22%4.76B
419.28%4.77B
379.85%6.21B
919.76%7.59B
919.76%7.59B
438.35%7.23B
-48.22%918M
Free cash flow
137.89%344M
-476.13%-583M
-32.53%529M
122.52%111M
-157.17%-315M
-32.17%-908M
160.55%155M
207.45%784M
-70.00%-493M
249.32%551M
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 298.83%1.02B243.95%1.48B-1.87%1.26B299.38%647M-67.16%88M59.86%-515M176.38%430M8,118.75%1.28B297.56%162M-76.28%268M
Net income from continuing operations 158.47%809M216.14%1.07B115.16%525M115.72%133M213.48%101M234.91%313M-195.83%-923M186.22%244M-1,162.69%-846M-118.98%-89M
Operating gains losses 65.38%-36M47.22%-114M57.38%-130M-116.07%-9M122.22%20M-1,140.00%-104M-12.50%-216M-843.90%-305M600.00%56M160.00%9M
Depreciation and amortization 23.30%508M1.80%1.76B-21.03%413M11.24%554M5.00%378M19.42%412M86.59%1.73B79.11%523M71.72%498M-16.47%360M
Deferred tax 284.67%527M184.88%584M2,125.00%267M79.31%156M-77.98%24M4,666.67%137M-13.50%205M129.27%12M-24.35%87M-67.56%109M
Other non cash items 567.74%207M-43.37%393M33.54%215M294.55%217M-86.07%39M-85.38%31M122.44%694M-17.86%161M196.49%55M38.61%280M
Change In working capital -37.40%-834M-254.35%-978M-73.45%201M41.88%-272M-9.09%-300M-109.31%-607M49.17%-276M1,582.22%757M-74.63%-468M-439.51%-275M
-Change in receivables -----175.79%-957M-----------------182.11%-347M------------
-Change in inventory ----22.46%-290M----------------14.81%-374M------------
-Change in prepaid assets -----379.31%-139M----------------88.54%-29M------------
-Change in payables and accrued expense -----13.92%408M----------------74.26%474M------------
Cash from discontinued investing activities 00000-49.21%2.36B-99.56%5M-103.42%-28M1.06B
Operating cash flow 298.83%1.02B-46.99%1.48B-2.25%1.26B382.84%647M-93.36%88M-1,326.19%-515M-31.68%2.79B14.39%1.29B-81.79%134M17.35%1.33B
Investing cash flow
Cash flow from continuing investing activities -91.53%-588M-127.17%-1.91B-20.11%-663M-105.81%-526M46.51%-414M56.27%-307M311.84%7.03B37.41%-552M986.20%9.06B47.53%-774M
Capital expenditure reported -73.03%-680M21.75%-2.06B-44.84%-730M14.51%-536M48.00%-403M46.09%-393M39.29%-2.64B42.14%-504M38.89%-627M48.30%-775M
Net business purchase and sale ------0--0--0--------835.21%9.48B---160M--9.64B--0
Net investment purchase and sale 96.00%49M-661.54%-99M89.47%72M-200.00%-54M-326.09%-98M350.00%25M89.43%-13M126.76%38M-550.00%-18M-195.83%-23M
Net other investing changes -------------69.23%4M60.00%16M300.00%44M61.76%55M--21M--13M--10M
Cash from discontinued investing activities
Investing cash flow -91.53%-588M-130.94%-1.91B-20.11%-663M-105.84%-526M65.67%-414M71.55%-307M229.77%6.17B58.56%-552M753.85%9.01B18.24%-1.21B
Financing cash flow
Cash flow from continuing financing activities 77.35%-123M26.07%-1.85B69.81%-256M91.76%-228M-69.92%-819M-133.96%-543M-687.70%-2.5B-147.95%-848M-1,282.05%-2.77B-273.64%-482M
Net issuance payments of debt 29.17%-34M78.86%-537M22.67%-232M98.58%-29M-14.00%-228M-1,700.00%-48M-354.38%-2.54B-24.48%-300M-7,144.83%-2.04B13.04%-200M
Net common stock issuance 109.14%34M7.77%-985M101.86%9M64.71%-138M-179.77%-484M-1,760.00%-372M-471.12%-1.07B-206.33%-484M-5,685.71%-391M-214.55%-173M
Cash dividends paid 3.17%-61M52.14%-246M3.17%-61M81.06%-61M4.69%-61M3.08%-63M0.19%-514M1.56%-63M-395.38%-322M1.54%-64M
Net other financing activities -100.00%-10M-75.56%608M-3.88%322M-48.39%48M-13.83%243M-100.28%-5M49.34%2.49B-21.73%335M-73.43%93M-39.74%282M
Cash from discontinued financing activities 0000055.26%-68M085.29%-5M-28M
Financing cash flow 77.35%-123M28.03%-1.85B69.81%-256M91.77%-228M-60.59%-819M-134.72%-543M-446.91%-2.57B-125.53%-848M-1,485.50%-2.77B-295.35%-510M
Net cash flow
Beginning cash position -33.83%5.02B919.76%7.59B-34.22%4.76B419.28%4.77B379.85%6.21B919.76%7.59B-60.49%744M438.35%7.23B-48.22%918M-42.83%1.3B
Current changes in cash 122.93%313M-135.59%-2.28B403.57%340M-101.68%-107M-193.59%-1.15B-359.01%-1.37B660.25%6.4B80.76%-112M1,541.86%6.37B17.72%-390M
Effect of exchange rate changes 1,275.00%94M-166.97%-298M-117.91%-84M257.38%96M-2,423.08%-302M-133.33%-8M1,490.63%445M2,858.82%469M-608.33%-61M154.17%13M
End cash Position -12.66%5.43B-33.94%5.01B-33.94%5.01B-34.22%4.76B419.28%4.77B379.85%6.21B919.76%7.59B919.76%7.59B438.35%7.23B-48.22%918M
Free cash flow 137.89%344M-476.13%-583M-32.53%529M122.52%111M-157.17%-315M-32.17%-908M160.55%155M207.45%784M-70.00%-493M249.32%551M
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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