Enbridge reported cash from operations of $2971.95M and free cash flow of $821.24M for the quarter ended Jun 2026, up 27.2% year over year. This cash flow statement covers 47 quarters of results from Dec 2011 through Jun 2026, standardized by Business Quant from the company’s SEC filings.
| Cash Flow Statement | Dec2011 | Jun2012 | Dec2012 | Jun2013 | Jun2014 | Dec2014 | Jun2015 | Jun2016 | Dec2016 | Mar2017 | Jun2017 | Sep2017 | Dec2017 | Mar2018 | Jun2018 | Sep2018 | Dec2018 | Mar2019 | Jun2019 | Sep2019 | Dec2019 | Mar2020 | Jun2020 | Sep2020 | Dec2020 | Mar2021 | Jun2021 | Sep2021 | Dec2021 | Mar2022 | Jun2022 | Sep2022 | Dec2022 | Mar2023 | Jun2023 | Sep2023 | Dec2023 | Mar2024 | Jun2024 | Sep2024 | Dec2024 | Mar2025 | Jun2025 | Sep2025 | Dec2025 | Mar2026 | Jun2026 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Operating Activities | |||||||||||||||||||||||||||||||||||||||||||||||
| Net Income | 646.65M | 1,558.91M | 1,623.95M | 476.09M | 1,060.41M | -817.00M | 1,380.27M | 1,489.65M | 464.71M | 1,151.75M | 1,161.41M | 1,463.01M | 1,060.73M | 442.39M | 1,735.32M | 1,675.09M | 615.46M | 1,528.11M | 1,296.53M | 1,134.99M | |||||||||||||||||||||||||||
| Deferred Taxes | 112.81M | 239.59M | 333.95M | 36.08M | 100.44M | 263.00M | 358.01M | 323.84M | 2.98M | 365.06M | 99.44M | 350.22M | 95.30M | -17.18M | 211.86M | 351.47M | 111.18M | 58.08M | 197.61M | 133.02M | |||||||||||||||||||||||||||
| Gains from Investment SecuritiesGains Investment | 365.43M | 343.51M | 311.05M | 379.62M | 318.20M | 393.40M | 335.08M | 456.35M | 352.83M | 337.15M | 412.61M | 351.68M | 338.67M | 445.26M | 388.18M | 362.30M | 354.60M | 372.17M | 336.89M | 365.08M | |||||||||||||||||||||||||||
| Asset Writedowns and ImpairmentWritedown | 88.18M | -88.06M | 398.56M | 136.01M | 238.17M | 172.10M | |||||||||||||||||||||||||||||||||||||||||
| Cash from OperationsCash from Ops. | 1,837.47M | 1,499.41M | 2,320.27M | 1,987.52M | 1,643.90M | 2,661.71M | 2,859.67M | 2,560.17M | 2,300.45M | 2,800.05M | 2,338.40M | 2,057.43M | 2,179.37M | 2,621.44M | 2,127.69M | 2,336.91M | 2,083.99M | 2,230.86M | 1,707.80M | 2,971.95M | |||||||||||||||||||||||||||
| Depreciation, Depletion & Amortization | |||||||||||||||||||||||||||||||||||||||||||||||
| Depreciation & Amortization (CF)Dep. & Amort. | 749.92M | 830.62M | 832.90M | 834.54M | 825.02M | 826.58M | 847.69M | 846.44M | 868.26M | 856.47M | 885.34M | 930.74M | 965.43M | 990.74M | 981.26M | 1,003.90M | 1,015.84M | 1,049.81M | 1,044.95M | 1,033.06M | |||||||||||||||||||||||||||
| Change in Working Capital | |||||||||||||||||||||||||||||||||||||||||||||||
| Other Working Capital ChangesOther WC Changes | 232.76M | 642.60M | 139.74M | -30.59M | 355.77M | -434.65M | -676.08M | -233.76M | -173.80M | -624.36M | 222.63M | 151.35M | -113.62M | -156.77M | 626.53M | -41.86M | -74.12M | 477.58M | 1,400.80M | -892.09M | |||||||||||||||||||||||||||
| Investing Activities | |||||||||||||||||||||||||||||||||||||||||||||||
| Capital ExpendituresCapex | 1,717.51M | 1,531.93M | 827.37M | 748.26M | 921.63M | 1,063.06M | 835.12M | 717.65M | 888.40M | 1,006.31M | 879.40M | 985.58M | 1,196.34M | 1,822.55M | 1,200.79M | 1,371.25M | 1,686.52M | 2,172.05M | 1,778.53M | 2,150.70M | |||||||||||||||||||||||||||
| Sales of Property, Plant and EquipmentPP&E (Sale) | |||||||||||||||||||||||||||||||||||||||||||||||
| Acquisitions | 3,002.78M | 226.19M | 392.66M | 362.55M | 343.03M | 4,747.30M | 2,966.24M | 1,914.00M | 291.35M | ||||||||||||||||||||||||||||||||||||||
| Divestments | 38.93M | 767.95M | 76.58M | 156.08M | 173.28M | 177.55M | 73.97M | 485.38M | 84.29M | 210.08M | 197.40M | 1,797.14M | 128.23M | 144.34M | 106.82M | 107.56M | 155.32M | 133.02M | |||||||||||||||||||||||||||||
| Cash from Investing ActivitiesCash from Investing | -1831.91M | -3768.35M | -1040.53M | -629.04M | -795.88M | -1555.92M | -1062.94M | -667.03M | -872.74M | -1865.72M | -5782.55M | -2513.66M | -3434.36M | -3184.10M | -1246.78M | -2063.38M | -1844.93M | -2377.86M | -2060.01M | -2219.38M | |||||||||||||||||||||||||||
| Financing Activities | |||||||||||||||||||||||||||||||||||||||||||||||
| Other financing activitiesOther financing | -19.07M | -18.25M | -72.63M | -23.53M | -77.44M | -67.04M | -24.41M | -23.08M | -13.43M | -2.20M | -1.48M | -13.16M | -8.06M | -6.44M | -25.09M | 2.17M | -5.81M | -31.55M | -39.38M | -10.12M | |||||||||||||||||||||||||||
| Cash from Financing ActivitiesCash from Financing | 32.57M | 2,108.69M | -1170.79M | -880.03M | -904.76M | -1210.40M | -1693.16M | -1846.99M | -280.47M | 1,676.21M | -89.05M | 2,125.43M | 114.36M | 430.23M | -662.07M | -877.60M | -91.56M | -77.45M | 810.15M | -594.97M | |||||||||||||||||||||||||||
| Change in Capital Stock | |||||||||||||||||||||||||||||||||||||||||||||||
| Net Equity Issued and RepurchasedNet Equity Issued | 1.59M | 1.58M | 0.78M | 3,319.39M | 1,816.88M | 3.48M | 0.72M | 1.45M | 14.34M | ||||||||||||||||||||||||||||||||||||||
| Dividend Payments | |||||||||||||||||||||||||||||||||||||||||||||||
| Dividends Paid - CommonDiv. Paid (Common) | 1,344.14M | 1,342.32M | 1,375.27M | 1,367.11M | 1,334.91M | 1,283.34M | 1,329.97M | 1,337.04M | 1,338.95M | 1,385.33M | 1,443.41M | 1,422.80M | 1,461.71M | 1,424.54M | 1,431.47M | 1,483.12M | 1,493.23M | 1,474.33M | 1,543.00M | 1,532.60M | |||||||||||||||||||||||||||
| Additional items | |||||||||||||||||||||||||||||||||||||||||||||||
| Exchange Rate EffectFX Effect | 6.36M | 5.55M | -3.16M | 18.82M | 32.97M | -5.89M | 2.96M | -17.12M | 14.17M | -158.66M | 119.48M | 22.67M | -30.06M | 59.42M | 5.58M | -45.47M | 19.62M | -13.62M | 16.04M | 17.35M | |||||||||||||||||||||||||||
| Change in Cash | 44.49M | -154.70M | 105.79M | 497.27M | -23.77M | -110.51M | 106.52M | 29.03M | 1,161.41M | 2,451.88M | -3413.72M | 1,691.86M | -1170.69M | -73.02M | 224.41M | -649.54M | 167.13M | -238.07M | 473.98M | 174.95M | |||||||||||||||||||||||||||
| Free Cash FlowFCF | 119.96M | -32.53M | 1,492.90M | 1,239.26M | 722.27M | 1,598.65M | 2,024.55M | 1,842.52M | 1,412.05M | 1,793.74M | 1,458.99M | 1,071.85M | 983.02M | 798.89M | 926.90M | 965.65M | 397.47M | 58.80M | -70.73M | 821.24M | |||||||||||||||||||||||||||
| Net Cash FlowNCF | 38.13M | -160.25M | 108.95M | 478.45M | -56.74M | -104.61M | 103.56M | 46.16M | 1,147.24M | 2,610.54M | -3533.20M | 1,669.19M | -1140.63M | -132.43M | 218.83M | -604.07M | 147.51M | -224.45M | 457.94M | 157.60M |
Pull Enbridge's standardized financial statements into your own models, spreadsheets and apps with the Business Quant Financial Statements API. The request below follows the statement, frequency and period selected above. Swap YOUR_API_KEY for your own key.
https://data.businessquant.com/statements?ticker=EBGEF&statement=CF&frequency=Quarter&period=all&api_key=YOUR_API_KEY
import requests
url = "https://data.businessquant.com/statements"
params = {"ticker": "EBGEF", "statement": "CF", "frequency": "Quarter", "period": "all", "api_key": "YOUR_API_KEY"}
data = requests.get(url, params=params).json()
const res = await fetch("https://data.businessquant.com/statements?ticker=EBGEF&statement=CF&frequency=Quarter&period=all&api_key=YOUR_API_KEY");
const data = await res.json();