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Enbridge ENB Cash Flow Statement

FY'25FY'24FY'23FY'22
$7.79B+38.3%$5.63B-7.0%$6.06B+106%$2.94B-53.5%
$5.66B+9.6%$5.17B+12.0%$4.61B+6.9%$4.32B+12.1%
$1.03B+38.0%$743M-47.7%$1.42B+48.4%$957M-12.3%
$12.27B-2.6%$12.6B-11.3%$14.2B+26.5%$11.23B+21.3%
$8.97B+33.7%$6.71B+44.2%$4.65B+0.2%$4.65B-40.6%
$0-100%$13.47B+1,312%$954M
-$10.5B+48.4%-$20.36B-237%-$6.04B-14.7%-$5.27B+50.5%
$8.22B+4.4%$7.88B+8.2%$7.28B+4.4%$6.97B+3.0%
$6.85B+3.3%$6.63B+37.6%$4.82B+14.8%$4.2B+85.4%
$28M$4.45B
$360M+8.1%$333M-8.3%$363M+40.2%$259M-4.4%
-$2.4B-168%$3.54B-$5.43B-539%
$4.92B+19.1%$4.13B+22.3%$3.38B+15.8%$2.92B+20.3%
-$2.22B+3.5%-$2.3B-26.9%-$1.82B+11.7%-$2.06B-28.5%
$2.07B-2.6%$2.12B+6.2%$2B+9.4%$1.83B+12.1%
$570M+200%$190M-54.7%$419M-22.6%$541M
-$2.31B
-$122M+44.0%-$218M+42.3%-$378M
-$2.2B
$46M-17.9%$56M-8.2%$61M
$219M-1.4%$222M+27.6%$174M-36.7%
$2.32B-32.0%$3.42B+168%$1.28B+22.6%$1.04B+62.7%
$2.72B
$0$0
$419M+8.3%$387M+9.9%$352M+4.1%$338M-7.9%
$712M$0
$10.96B+14.8%$9.55B-37.9%$15.38B+104%$7.55B-6.0%
-$88M-120%-$40M+52.9%-$85M+72.9%-$314M-261%
$0$0
$1.3B-$1.33B
$481M
$3.3B-44.0%$5.89B-38.3%$9.55B+45.0%$6.58B+345%
$3.3B-44.0%$5.89B-38.3%$9.55B+45.0%$6.58B+345%

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Questions, answered.

How much cash does Enbridge generate?
Enbridge (ENB) generated $11.6B in operating cash flow over the trailing twelve months.
What is Enbridge's free cash flow?
After $9.7B of capital expenditures, Enbridge's free cash flow was $1.9B over the trailing twelve months, down 64.4% year over year.
Where does Enbridge's cash flow data come from?
Every line is extracted from Enbridge's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.