Fortis Inc. (FTS) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2015: 1.67B CAD2016: 1.88B CAD2017: 2.76B CAD2018: 2.60B CAD2019: 2.66B CAD2020: 2.70B CAD2021: 2.91B CAD2022: 3.07B CAD2023: 3.54B CAD2024: 3.88B CAD2025: 4.06B CAD4.06B CAD
2015Operating Cash Flow (CAD)2025
Fiscal YearOperating Cash FlowChange YoY
20254.06B CAD+4.6%
20243.88B CAD+9.5%
20233.54B CAD+15.3%
20223.07B CAD+5.7%
20212.91B CAD+7.6%
20202.70B CAD+1.4%
20192.66B CAD+2.3%
20182.60B CAD-5.5%
20172.76B CAD+46.3%
20161.88B CAD+12.6%
20151.67B CAD