CNQ Cash Flow Statement - Canadian Natural Resources Ltd - Alpha Spread
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Canadian Natural Resources Ltd
NYSE:CNQ

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Canadian Natural Resources Ltd
NYSE:CNQ
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Price: 32.345 USD 1.17%
Market Cap: 69.1B USD
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Cash Flow Statement

Cash Flow Statement
Canadian Natural Resources Ltd

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Cash Flow Statement
Currency: CAD
Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024
Operating Cash Flow
Net Income
3 273
3 144
3 929
3 055
1 580
430
(637)
(490)
(424)
(639)
(204)
146
1 557
2 567
2 397
2 735
2 645
3 763
2 591
2 969
4 818
4 043
5 416
3 173
32
(587)
(435)
2 224
4 085
5 879
7 664
9 388
11 339
11 951
10 937
9 635
7 596
7 126
8 233
7 421
7 673
Depreciation & Amortization
4 778
4 746
4 880
5 224
5 267
5 417
5 483
5 347
5 241
5 081
4 858
4 938
4 974
5 029
5 186
5 144
5 204
5 239
5 161
5 167
5 204
5 324
5 546
5 847
5 943
5 981
6 046
5 903
5 888
5 866
5 724
5 710
5 685
5 697
7 353
7 364
7 398
7 481
6 413
6 528
6 780
Change in Deffered Taxes
373
458
807
368
707
517
231
342
(228)
(228)
(241)
(34)
170
300
640
741
742
740
557
514
(1 007)
(977)
(894)
(968)
123
38
(181)
(180)
216
181
399
503
505
643
(139)
(234)
(369)
(362)
53
43
68
Other Non-Cash Items
289
314
(413)
(266)
(283)
18
316
(472)
(422)
(621)
(419)
(38)
(1 004)
(1 508)
(1 260)
(1 043)
64
62
466
(97)
(501)
188
(206)
928
639
186
(550)
(1 651)
(1 204)
(1 040)
(273)
160
573
1 286
1 161
957
407
299
71
458
770
Cash Taxes Paid
675
708
792
546
454
263
42
(284)
(109)
(534)
(444)
(262)
(882)
(808)
(792)
(794)
(544)
(183)
(225)
(514)
138
342
445
712
231
44
(29)
(191)
(184)
(94)
(62)
1 818
2 191
2 514
3 057
2 854
3 094
3 131
3 317
1 959
1 745
Cash Interest Paid
466
482
521
542
551
581
541
567
571
593
617
634
634
658
725
786
886
892
911
879
839
878
865
850
841
789
745
744
712
697
672
644
621
604
613
597
613
621
602
615
606
Change in Working Capital
(588)
(339)
(744)
(21)
(83)
83
239
232
224
89
(542)
(470)
(241)
691
299
483
387
358
1 346
95
382
(806)
(1 033)
578
(391)
280
(166)
(771)
(169)
150
964
(966)
(351)
(18)
79
111
(350)
(2 462)
(2 417)
(524)
(26)
Cash from Operating Activities
8 125
N/A
8 323
+2%
8 459
+2%
8 360
-1%
7 188
-14%
6 465
-10%
5 632
-13%
4 959
-12%
4 391
-11%
3 682
-16%
3 452
-6%
4 542
+32%
5 456
+20%
7 079
+30%
7 262
+3%
8 060
+11%
9 042
+12%
10 162
+12%
10 121
0%
8 648
-15%
8 896
+3%
7 772
-13%
8 829
+14%
9 558
+8%
6 346
-34%
5 898
-7%
4 714
-20%
5 525
+17%
8 816
+60%
11 036
+25%
14 478
+31%
14 795
+2%
17 751
+20%
19 559
+10%
19 391
-1%
17 833
-8%
14 682
-18%
12 082
-18%
12 353
+2%
13 926
+13%
15 265
+10%
Investing Cash Flow
Capital Expenditures
(10 018)
(11 292)
(11 398)
(10 977)
(7 722)
(5 803)
(5 331)
(4 645)
(4 506)
(4 394)
(3 803)
(3 612)
(3 294)
(4 260)
(4 698)
(4 906)
(5 046)
(4 433)
(4 441)
(4 297)
(4 240)
(3 724)
(3 608)
(3 488)
(3 002)
(2 808)
(2 560)
(2 552)
(3 412)
(3 663)
(4 493)
(5 140)
(5 279)
(5 457)
(5 136)
(5 005)
(5 194)
(5 167)
(4 909)
(4 765)
(4 817)
Other Items
(809)
70
221
(402)
413
(853)
(134)
(161)
19
241
(8)
(83)
(8 166)
(8 303)
(8 404)
(8 441)
(495)
(413)
(373)
(177)
(3 560)
(3 719)
(3 647)
(3 597)
(312)
(241)
(259)
(56)
778
951
790
834
347
117
149
116
90
(7)
51
(332)
265
Cash from Investing Activities
(10 827)
N/A
(11 222)
-4%
(11 177)
+0%
(11 379)
-2%
(7 309)
+36%
(6 656)
+9%
(5 465)
+18%
(4 806)
+12%
(4 487)
+7%
(4 153)
+7%
(3 811)
+8%
(3 695)
+3%
(11 460)
-210%
(12 563)
-10%
(13 102)
-4%
(13 347)
-2%
(5 541)
+58%
(4 846)
+13%
(4 814)
+1%
(4 474)
+7%
(7 800)
-74%
(7 443)
+5%
(7 255)
+3%
(7 085)
+2%
(3 314)
+53%
(3 049)
+8%
(2 819)
+8%
(2 608)
+7%
(2 634)
-1%
(2 712)
-3%
(3 703)
-37%
(4 306)
-16%
(4 932)
-15%
(5 340)
-8%
(4 987)
+7%
(4 889)
+2%
(5 104)
-4%
(5 174)
-1%
(4 858)
+6%
(5 097)
-5%
(4 552)
+11%
Financing Cash Flow
Net Issuance of Common Stock
(85)
63
35
(60)
(26)
75
91
86
159
328
559
689
632
518
466
412
74
(368)
(950)
(1 214)
(1 296)
(1 049)
(581)
(663)
(303)
(163)
(163)
127
101
(324)
(874)
(1 755)
(3 681)
(4 971)
(5 129)
(4 840)
(3 335)
(2 131)
(2 946)
(2 835)
(3 102)
Net Issuance of Debt
3 352
3 701
3 669
4 107
1 187
1 170
1 077
775
936
1 139
506
(497)
6 487
6 430
6 746
6 319
(2 027)
(3 473)
(2 831)
(1 393)
2 083
2 305
788
789
(1 223)
(961)
494
(1 543)
(3 887)
(4 764)
(7 171)
(6 419)
(6 472)
(5 002)
(4 242)
(3 031)
(1 061)
(1 472)
(701)
(1 290)
(2 653)
Cash Paid for Dividends
(735)
(845)
(955)
(983)
(988)
(994)
(1 251)
(1 006)
(1 007)
(1 007)
(758)
(1 035)
(1 089)
(1 171)
(1 252)
(1 311)
(1 416)
(1 491)
(1 562)
(1 629)
(1 667)
(1 705)
(1 743)
(1 784)
(1 837)
(1 892)
(1 950)
(2 009)
(2 064)
(2 120)
(2 170)
(2 356)
(2 670)
(4 644)
(4 926)
(5 175)
(5 293)
(3 745)
(3 891)
(4 029)
(4 165)
Other
184
(22)
(22)
(30)
(51)
(46)
(40)
(27)
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
166
166
166
(231)
(397)
(397)
(397)
0
0
69
69
69
0
0
0
0
0
0
Cash from Financing Activities
2 716
N/A
2 897
+7%
2 727
-6%
3 034
+11%
122
-96%
205
+68%
(123)
N/A
(172)
-40%
88
N/A
460
+423%
307
-33%
(843)
N/A
6 030
N/A
5 777
-4%
5 960
+3%
5 420
-9%
(3 369)
N/A
(5 332)
-58%
(5 343)
0%
(4 236)
+21%
(880)
+79%
(449)
+49%
(1 536)
-242%
(1 492)
+3%
(3 197)
-114%
(2 850)
+11%
(1 850)
+35%
(3 822)
-107%
(6 247)
-63%
(7 605)
-22%
(10 215)
-34%
(10 530)
-3%
(12 754)
-21%
(14 548)
-14%
(14 228)
+2%
(12 977)
+9%
(9 689)
+25%
(7 348)
+24%
(7 538)
-3%
(8 154)
-8%
(9 920)
-22%
Change in Cash
Net Change in Cash
14
N/A
(2)
N/A
9
N/A
15
+67%
1
-93%
14
+1 300%
44
+214%
(19)
N/A
(8)
+58%
(11)
-38%
(52)
-373%
4
N/A
26
+550%
293
+1 027%
120
-59%
133
+11%
132
-1%
(16)
N/A
(36)
-125%
(62)
-72%
216
N/A
(120)
N/A
38
N/A
981
+2 482%
(165)
N/A
(1)
+99%
45
N/A
(905)
N/A
(65)
+93%
719
N/A
560
-22%
(41)
N/A
65
N/A
(329)
N/A
176
N/A
(33)
N/A
(111)
-236%
(440)
-296%
(43)
+90%
675
N/A
793
+17%
Free Cash Flow
Free Cash Flow
(1 893)
N/A
(2 969)
-57%
(2 939)
+1%
(2 617)
+11%
(534)
+80%
662
N/A
301
-55%
314
+4%
(115)
N/A
(712)
-519%
(351)
+51%
930
N/A
2 162
+132%
2 819
+30%
2 564
-9%
3 154
+23%
3 996
+27%
5 729
+43%
5 680
-1%
4 351
-23%
4 656
+7%
4 048
-13%
5 221
+29%
6 070
+16%
3 344
-45%
3 090
-8%
2 154
-30%
2 973
+38%
5 404
+82%
7 373
+36%
9 985
+35%
9 655
-3%
12 472
+29%
14 102
+13%
14 255
+1%
12 828
-10%
9 488
-26%
6 915
-27%
7 444
+8%
9 161
+23%
10 448
+14%

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