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Pembina Pipeline Corporation

PPL.TO Stock Analysis

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Breakdown
2014
2015
2016
2017
2018
2019
2020
2021
2022
2023
Net Income
383.000M406.000M466.000M891.000M1.278B1.492B-316.000m1.242B2.971B1.776B
Depreciation & Amortization
226.000M263.000M293.000M382.000M417.000M511.000M700.000M723.000M683.000M663.000M
Change in Working Capital
-33.000m-11.000m-36.000m-18.000m-83.000m106.000M-93.000m-100.000m177.000M-210.000m
Operating Cash Flow
800.000M801.000M1.077B1.513B2.256B2.532B2.252B2.650B2.929B2.635B
Capital Expenditure
-1.412b-1.811b-1.745b-1.839b-1.226b-1.645b-1.029b-658.000m-605.000m-606.000m
Free Cash Flow
-612.000m-1.010b-668.000m-326.000m1.030B887.000M1.223B1.992B2.324B2.029B
Debt Repayment
-304.000m-709.000m-333.000m-1.279b-1.998b-1.934b-2.515b-1.310b-1.085b-676.000m
Dividends Paid
-269.000m-294.000m-351.000m-781.000m-1.247b-1.323b-1.530b-1.521b-1.651b-1.579b
Common Stock Issued
0.000657.000M345.000M423.000M53.000M151.000M88.000M16.000M310.000M1.000M
Common Stock Repurchased
0.0000.0001.586B0.0000.000-151.000m-88.000m-437.000m-633.000m-50.000m
Net Change in Cash
2.000M-25.000m7.000M286.000M-164.000m-28.000m-48.000m-38.000m64.000M44.000M