TSX:PPL - Toronto Stock Exchange - CA7063271034 - Common Stock - Currency: CAD
2024 (2024-12-31) | 2023 (2023-12-31) | 2022 (2022-12-31) | 2021 (2021-12-31) | 2020 (2020-12-31) | ||||
---|---|---|---|---|---|---|---|---|
CASH FLOWS FROM OPERATING ACTIVITIES | ||||||||
Net Income | 1.87B | 1.78B | 2.97B | 1.24B | -316.00M | |||
Depreciation Amortization | 862.00M | 663.00M | 683.00M | 723.00M | 700.00M | |||
Change In Working Capital | -952.00M | -926.00M | -604.00M | -873.00M | -771.00M | |||
Interest Paid | 528.00M | 462.00M | 468.00M | 443.00M | 429.00M | |||
Taxes Paid | 404.00M | 236.00M | 334.00M | 355.00M | 295.00M | |||
Other non cash items | 1.43B | 1.12B | -121.00M | 1.56B | 2.64B | |||
OPERATING CASH FLOW | 3.21B | 2.63B | 2.93B | 2.65B | 2.25B | |||
CASH FLOWS FROM INVESTING ACTIVITIES | ||||||||
Capital Expenditure | -955.00M | -606.00M | -605.00M | -658.00M | -1.03B | |||
Other Investing Activity | -2.96B | -183.00M | 451.00M | -381.00M | -454.00M | |||
INVESTING CASH FLOW | -3.91B | -789.00M | -154.00M | -1.04B | -1.48B | |||
CASH FLOWS FROM FINANCING ACTIVITIES | ||||||||
Debt Issued/Reduced | 1.37B | -172.00M | -746.00M | 277.00M | 644.00M | |||
Stock Issued/Repurchased | 11.00M | -49.00M | -323.00M | -421.00M | 88.00M | |||
Dividend Paid | -1.70B | -1.58B | -1.65B | -1.52B | -1.53B | |||
Other Financing Activity | 996.00M | N/A | N/A | N/A | -11.00M | |||
FINANCING CASH FLOW | 678.00M | -1.80B | -2.72B | -1.67B | -809.00M | |||
Exchange Rate Effect | 11.00M | -2.00M | 9.00M | 16.00M | -8.00M | |||
CHANGE IN CASH | -10.00M | 44.00M | 64.00M | -38.00M | -48.00M | |||
FREE CASH FLOW | ||||||||
Operating Cash Flow | 3.21B | 2.63B | 2.93B | 2.65B | 2.25B | |||
Capital Expenditure | -955.00M | -606.00M | -605.00M | -658.00M | -1.03B | |||
FREE CASH FLOW | 2.26B | 2.03B | 2.32B | 1.99B | 1.22B |
All data in CAD