Enbridge Inc
TSX:ENB

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Enbridge Inc
TSX:ENB
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Price: 61.74 CAD -3.33% Market Closed
Market Cap: 134.5B CAD

Balance Sheet

Balance Sheet Decomposition
Enbridge Inc

Current Assets 13.2B
Cash & Short-Term Investments 1.8B
Receivables 7B
Other Current Assets 4.4B
Non-Current Assets 205.8B
Long-Term Investments 20.7B
PP&E 131.9B
Intangibles 41.2B
Other Non-Current Assets 12B

Balance Sheet
Enbridge Inc

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Balance Sheet
Currency: CAD
Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024
Assets
Cash & Cash Equivalents
1 015
1 494
480
518
648
452
286
861
5 901
1 803
Cash Equivalents
1 015
1 494
480
518
648
452
286
861
5 901
1 803
Total Receivables
5 430
3 828
5 372
4 790
5 556
4 363
5 471
6 053
4 842
7 385
Accounts Receivables
5 430
3 828
5 372
4 790
5 233
3 989
5 064
5 730
4 495
7 010
Other Receivables
0
0
0
0
323
374
407
323
347
375
Inventory
1 111
1 233
1 528
1 339
1 299
1 536
1 670
2 255
1 479
1 488
Other Current Assets
41
1 232
1 835
1 925
1 210
999
1 532
2 978
2 177
2 487
Total Current Assets
7 597
7 787
9 215
8 572
8 713
7 350
8 959
12 147
14 399
13 163
PP&E Net
64 434
64 284
90 711
94 540
94 525
95 403
100 712
105 140
105 310
131 889
PP&E Gross
64 434
64 284
90 711
94 540
94 525
95 403
100 712
105 140
105 310
131 889
Accumulated Depreciation
13 366
14 611
15 102
17 644
20 240
23 383
25 973
29 540
32 558
37 962
Intangible Assets
1 348
1 573
3 267
2 372
2 173
2 080
4 008
4 018
3 537
4 587
Goodwill
80
78
34 457
34 459
33 153
32 688
32 775
32 440
31 848
36 600
Long-Term Investments
7 008
6 836
16 644
16 707
16 528
13 818
13 324
15 936
16 793
20 691
Other Long-Term Assets
4 048
4 651
7 799
10 255
8 065
8 937
9 086
9 927
8 430
12 043
Other Assets
80
78
34 457
34 459
33 153
32 688
32 775
32 440
31 848
36 600
Total Assets
84 515
N/A
85 209
+1%
162 093
+90%
166 905
+3%
163 157
-2%
160 276
-2%
168 864
+5%
179 608
+6%
180 317
+0%
218 973
+21%
Liabilities
Accounts Payable
7 399
3 840
5 292
5 445
4 557
3 519
4 560
5 340
4 334
7 082
Accrued Liabilities
324
333
634
669
1 496
731
785
850
1 056
1 352
Short-Term Debt
960
351
1 444
1 024
898
1 121
1 515
1 996
400
529
Current Portion of Long-Term Debt
1 990
4 100
2 871
3 259
4 420
2 974
6 164
6 045
6 084
7 729
Other Current Liabilities
141
3 719
4 383
4 458
4 527
5 634
5 205
6 070
5 561
7 120
Total Current Liabilities
10 814
12 343
14 624
14 855
15 898
13 979
18 229
20 301
17 435
23 812
Long-Term Debt
39 391
36 494
60 865
60 327
59 739
62 917
67 994
72 978
74 715
93 414
Deferred Income Tax
5 915
6 036
9 295
9 454
9 867
10 332
11 689
13 781
15 031
19 596
Minority Interest
3 441
3 969
11 664
3 965
3 364
2 996
2 542
3 511
3 029
2 993
Other Liabilities
6 056
4 981
7 510
8 834
8 246
8 685
7 584
9 150
8 653
13 258
Total Liabilities
65 617
N/A
63 823
-3%
103 958
+63%
97 435
-6%
97 114
0%
98 909
+2%
108 038
+9%
119 721
+11%
118 863
-1%
153 073
+29%
Equity
Common Stock
13 906
17 747
58 484
72 424
72 493
72 515
72 546
71 578
75 998
78 556
Retained Earnings
142
716
2 468
5 538
6 314
9 995
10 989
15 486
17 115
20 046
Additional Paid In Capital
3 301
3 399
3 194
0
187
277
365
275
268
275
Unrealized Security Profit/Loss
37
37
10
34
67
66
5
5
11
1
Other Equity
1 512
919
1 085
2 550
390
1 496
1 091
3 515
2 292
7 114
Total Equity
18 898
N/A
21 386
+13%
58 135
+172%
69 470
+19%
66 043
-5%
61 367
-7%
60 826
-1%
59 887
-2%
61 454
+3%
65 900
+7%
Total Liabilities & Equity
84 515
N/A
85 209
+1%
162 093
+90%
166 905
+3%
163 157
-2%
160 276
-2%
168 864
+5%
179 608
+6%
180 317
+0%
218 973
+21%
Shares Outstanding
Common Shares Outstanding
868
943
1 695
2 022
2 025
2 026
2 026
2 302
2 125
2 178
Preferred Shares Outstanding
265
295
315
315
315
315
315
277
277
277