CP Cash Flow Statement - Canadian Pacific Railway Ltd - Alpha Spread
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Canadian Pacific Railway Ltd
NYSE:CP

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Canadian Pacific Railway Ltd
NYSE:CP
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Price: 85.86 USD -1.2% Market Closed
Market Cap: 80.2B USD
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Cash Flow Statement

Cash Flow Statement
Canadian Pacific Railway 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
1 031
1 107
1 476
1 542
1 561
1 484
1 352
1 572
1 510
1 534
1 599
1 490
1 642
1 805
2 405
2 322
2 278
2 390
1 951
2 037
2 325
2 321
2 440
2 415
2 326
2 306
2 444
2 637
3 248
3 122
2 852
2 840
2 359
2 778
3 517
3 727
4 287
4 176
3 923
3 897
3 475
Depreciation & Amortization
561
557
552
557
565
579
595
611
627
633
640
644
648
655
661
665
672
684
696
686
697
708
706
738
750
760
779
789
794
802
811
819
830
840
853
868
1 067
1 305
1 543
1 785
1 848
Change in Deffered Taxes
136
146
354
297
386
266
234
295
311
361
320
294
228
255
(210)
(236)
(223)
(223)
256
253
198
217
181
182
249
198
221
233
193
278
242
190
295
203
136
161
(7 905)
(7 940)
(7 885)
(7 892)
78
Other Non-Cash Items
309
288
(135)
(113)
(100)
(12)
3
(276)
(358)
(405)
(415)
(299)
(325)
(493)
(536)
(407)
(337)
(300)
(256)
(300)
(350)
(267)
(311)
(145)
(158)
(162)
(253)
(513)
(457)
(438)
(115)
12
(219)
(228)
(1 362)
(534)
6 833
6 721
6 504
6 644
(502)
Cash Taxes Paid
59
146
226
214
246
191
176
371
374
343
322
300
351
412
425
359
295
291
318
363
419
467
506
496
393
582
582
576
710
528
552
578
532
470
408
433
599
737
906
964
1 014
Cash Interest Paid
304
306
309
304
310
331
336
424
422
489
488
483
486
478
475
468
463
470
463
469
462
456
444
452
432
454
443
441
435
425
426
421
533
528
641
638
740
744
825
923
813
Change in Working Capital
58
27
(124)
108
(81)
176
275
(80)
(41)
(179)
(55)
53
88
(5)
(138)
(76)
(22)
(37)
65
52
(132)
(91)
(26)
(124)
13
(252)
(389)
(251)
236
305
(102)
(142)
(793)
(567)
998
188
314
259
52
(163)
(243)
Cash from Operating Activities
2 095
N/A
2 125
+1%
2 123
0%
2 391
+13%
2 331
-3%
2 493
+7%
2 459
-1%
2 122
-14%
2 049
-3%
1 944
-5%
2 089
+7%
2 182
+4%
2 281
+5%
2 217
-3%
2 182
-2%
2 268
+4%
2 368
+4%
2 514
+6%
2 712
+8%
2 728
+1%
2 738
+0%
2 888
+5%
2 990
+4%
3 066
+3%
3 180
+4%
2 850
-10%
2 802
-2%
2 895
+3%
4 014
+39%
4 069
+1%
3 688
-9%
3 719
+1%
2 472
-34%
3 026
+22%
4 142
+37%
4 410
+6%
4 596
+4%
4 521
-2%
4 137
-8%
4 271
+3%
4 656
+9%
Investing Cash Flow
Capital Expenditures
(1 254)
(1 370)
(1 449)
(1 488)
(1 545)
(1 580)
(1 522)
(1 537)
(1 512)
(1 357)
(1 182)
(1 134)
(1 150)
(1 175)
(1 340)
(1 351)
(1 418)
(1 529)
(1 551)
(1 534)
(1 580)
(1 614)
(1 647)
(1 778)
(1 821)
(1 841)
(1 671)
(1 639)
(1 553)
(1 441)
(1 532)
(1 435)
(1 389)
(1 439)
(1 557)
(1 736)
(2 003)
(2 333)
(2 499)
(2 625)
(2 812)
Other Items
(3)
563
288
353
101
58
399
387
395
125
113
61
65
62
45
40
32
26
93
95
94
90
(156)
(168)
(138)
(140)
(359)
(315)
(338)
(2 096)
(12 198)
(12 215)
(12 218)
(10 449)
61
45
56
54
337
322
345
Cash from Investing Activities
(1 257)
N/A
(807)
+36%
(1 161)
-44%
(1 135)
+2%
(1 444)
-27%
(1 522)
-5%
(1 123)
+26%
(1 150)
-2%
(1 117)
+3%
(1 232)
-10%
(1 069)
+13%
(1 073)
0%
(1 085)
-1%
(1 113)
-3%
(1 295)
-16%
(1 311)
-1%
(1 386)
-6%
(1 503)
-8%
(1 458)
+3%
(1 439)
+1%
(1 486)
-3%
(1 524)
-3%
(1 803)
-18%
(1 946)
-8%
(1 959)
-1%
(1 981)
-1%
(2 030)
-2%
(1 954)
+4%
(1 891)
+3%
(3 537)
-87%
(13 730)
-288%
(13 650)
+1%
(13 607)
+0%
(11 888)
+13%
(1 496)
+87%
(1 691)
-13%
(1 947)
-15%
(2 279)
-17%
(2 162)
+5%
(2 303)
-7%
(2 467)
-7%
Financing Cash Flow
Net Issuance of Common Stock
(476)
(923)
(1 988)
(2 430)
(2 537)
(3 614)
(2 744)
(2 226)
(2 478)
(1 367)
(1 189)
(1 166)
(515)
(332)
(336)
(654)
(778)
(550)
(1 079)
(992)
(982)
(1 480)
(1 108)
(1 382)
(1 174)
(1 077)
(1 457)
(972)
(925)
(524)
25
25
18
23
32
42
60
64
69
73
74
Net Issuance of Debt
(184)
(186)
588
890
1 261
2 782
2 013
1 843
1 652
330
(46)
(40)
(218)
(399)
(32)
(32)
(66)
(121)
(115)
282
91
498
421
565
628
689
1 149
685
(26)
592
10 493
10 199
10 959
9 378
(1 622)
(1 886)
(1 824)
(1 430)
(1 300)
(1 090)
(1 336)
Cash Paid for Dividends
(246)
(245)
(244)
(241)
(236)
(232)
(226)
(222)
(218)
(236)
(255)
(274)
(294)
(302)
(310)
(319)
(327)
(336)
(348)
(357)
(367)
(391)
(412)
(435)
(456)
(453)
(467)
(480)
(494)
(508)
(507)
(557)
(607)
(657)
(707)
(707)
(707)
(707)
(707)
(707)
(709)
Other
0
14
14
0
0
(3)
0
(2)
(3)
(3)
(3)
(1)
(22)
(22)
(22)
0
0
0
0
0
0
(2)
(12)
(1)
(1)
1
11
(33)
(49)
(52)
(75)
(42)
(26)
(23)
0
0
(16)
(17)
(17)
0
(1)
Cash from Financing Activities
(909)
N/A
(1 340)
-47%
(1 630)
-22%
(1 767)
-8%
(1 498)
+15%
(1 067)
+29%
(957)
+10%
(607)
+37%
(1 047)
-72%
(1 276)
-22%
(1 493)
-17%
(1 481)
+1%
(1 049)
+29%
(1 055)
-1%
(700)
+34%
(1 027)
-47%
(1 171)
-14%
(1 007)
+14%
(1 542)
-53%
(1 067)
+31%
(1 258)
-18%
(1 375)
-9%
(1 111)
+19%
(1 253)
-13%
(1 003)
+20%
(840)
+16%
(764)
+9%
(800)
-5%
(1 494)
-87%
(492)
+67%
9 936
N/A
9 625
-3%
10 344
+7%
8 721
-16%
(2 297)
N/A
(2 551)
-11%
(2 487)
+3%
(2 090)
+16%
(1 955)
+6%
(1 741)
+11%
(1 972)
-13%
Change in Cash
Effect of Foreign Exchange Rates
(2)
11
7
5
16
28
45
22
22
6
(13)
2
(1)
(10)
(13)
(6)
2
4
11
5
0
6
(4)
28
14
9
6
(28)
(14)
0
41
44
53
56
20
24
9
4
(7)
2
15
Net Change in Cash
(73)
N/A
(11)
+85%
(661)
-5 909%
(506)
+23%
(595)
-18%
(68)
+89%
424
N/A
387
-9%
(93)
N/A
(558)
-500%
(486)
+13%
(370)
+24%
146
N/A
39
-73%
174
+346%
(76)
N/A
(187)
-146%
8
N/A
(277)
N/A
227
N/A
(6)
N/A
(5)
+17%
72
N/A
(105)
N/A
232
N/A
38
-84%
14
-63%
113
+707%
615
+444%
40
-93%
(65)
N/A
(262)
-303%
(738)
-182%
(85)
+88%
369
N/A
192
-48%
171
-11%
156
-9%
13
-92%
229
+1 662%
232
+1%
Free Cash Flow
Free Cash Flow
841
N/A
755
-10%
674
-11%
903
+34%
786
-13%
913
+16%
937
+3%
585
-38%
537
-8%
587
+9%
907
+55%
1 048
+16%
1 131
+8%
1 042
-8%
842
-19%
917
+9%
950
+4%
985
+4%
1 161
+18%
1 194
+3%
1 158
-3%
1 274
+10%
1 343
+5%
1 288
-4%
1 359
+6%
1 009
-26%
1 131
+12%
1 256
+11%
2 461
+96%
2 628
+7%
2 156
-18%
2 284
+6%
1 083
-53%
1 587
+47%
2 585
+63%
2 674
+3%
2 593
-3%
2 188
-16%
1 638
-25%
1 646
+0%
1 844
+12%

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