ENBRIDGE INC (ENB)

↓ Download CSV

CIK 0000895728

In fiscal 2025, ENBRIDGE INC reported revenue of 65.19B CAD, up 21.9% from the prior year. The company was profitable, with a net margin of 11.5%. It held 218.47B CAD in total assets against 152.55B CAD in total liabilities.

Key ratios (FY2025)

16.8%
Operating margin
11.5%
Net margin
11.5%
Return on equity
+21.9%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue65.19B CAD53.47B CAD43.65B CAD53.31B CAD47.07B CAD39.09B CAD50.07B CAD46.38B CAD44.38B CAD34.56B CAD
Cost of Revenue21.37B CAD32.59B CAD28.70B CAD20.67B CAD31.00B CAD29.40B CAD28.64B CAD24.00B CAD
Operating Income10.96B CAD9.65B CAD8.65B CAD5.18B CAD7.80B CAD7.96B CAD8.26B CAD4.82B CAD1.57B CAD2.58B CAD
Net Income7.49B CAD5.44B CAD6.19B CAD3.00B CAD6.19B CAD3.36B CAD5.71B CAD2.88B CAD2.86B CAD2.07B CAD
EPS (Diluted)3.22 CAD2.34 CAD2.84 CAD1.28 CAD2.87 CAD1.48 CAD2.63 CAD1.46 CAD1.65 CAD1.93 CAD
Total Assets218.47B CAD218.97B CAD180.32B CAD179.61B CAD168.86B CAD160.28B CAD163.16B CAD166.91B CAD162.09B CAD85.21B CAD
Total Liabilities152.55B CAD150.08B CAD115.83B CAD116.21B CAD105.50B CAD95.91B CAD93.75B CAD93.47B CAD92.29B CAD59.85B CAD
Shareholders' Equity65.19B CAD68.89B CAD64.48B CAD63.40B CAD63.37B CAD64.36B CAD69.41B CAD73.44B CAD65.73B CAD21.96B CAD
Cash & Equivalents1.09B CAD1.80B CAD5.90B CAD861.00M CAD286.00M CAD452.00M CAD648.00M CAD518.00M CAD480.00M CAD1.49B CAD
Operating Cash Flow12.27B CAD12.60B CAD14.20B CAD11.23B CAD9.26B CAD9.78B CAD9.40B CAD10.50B CAD6.66B CAD5.21B CAD
Capital Expenditures8.97B CAD6.71B CAD4.65B CAD4.65B CAD7.82B CAD5.41B CAD5.49B CAD6.81B CAD8.29B CAD5.13B CAD
Shares Outstanding2.19B2.16B2.06B2.03B2.02B2.02B2.02B1.73B1.53B918.00M
Dividends Per Share3.77 CAD3.66 CAD3.55 CAD3.44 CAD3.34 CAD3.24 CAD2.95 CAD2.68 CAD2.41 CAD2.12 CAD