
Pembina Pipeline Corp
TSX:PPL

Pembina Pipeline Corp
Cash from Operating Activities
Pembina Pipeline Corp
Cash from Operating Activities Peer Comparison
Competitors Analysis
Latest Figures & CAGR of Competitors
Company | Cash from Operating Activities | CAGR 3Y | CAGR 5Y | CAGR 10Y | ||
---|---|---|---|---|---|---|
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Pembina Pipeline Corp
TSX:PPL
|
Cash from Operating Activities
CA$3.2B
|
CAGR 3-Years
7%
|
CAGR 5-Years
5%
|
CAGR 10-Years
15%
|
|
T
|
Teekay Tankers Ltd
NYSE:TNK
|
Cash from Operating Activities
$516.7m
|
CAGR 3-Years
N/A
|
CAGR 5-Years
53%
|
CAGR 10-Years
43%
|
|
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Enbridge Inc
TSX:ENB
|
Cash from Operating Activities
CA$12.6B
|
CAGR 3-Years
11%
|
CAGR 5-Years
6%
|
CAGR 10-Years
17%
|
|
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TC Energy Corp
TSX:TRP
|
Cash from Operating Activities
CA$7.7B
|
CAGR 3-Years
4%
|
CAGR 5-Years
2%
|
CAGR 10-Years
7%
|
|
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Gibson Energy Inc
TSX:GEI
|
Cash from Operating Activities
CA$598.5m
|
CAGR 3-Years
40%
|
CAGR 5-Years
10%
|
CAGR 10-Years
6%
|
|
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Keyera Corp
TSX:KEY
|
Cash from Operating Activities
CA$1.3B
|
CAGR 3-Years
29%
|
CAGR 5-Years
7%
|
CAGR 10-Years
11%
|
Pembina Pipeline Corp
Glance View
In the heart of Calgary, Alberta, Pembina Pipeline Corp stands as a pivotal entity within North America’s energy infrastructure industry. The company, established in 1954, has intricately woven itself into the continent’s energy tapestry, becoming a cornerstone in the transportation and midstream services for natural gas, crude oil, and natural gas liquids. Pembina's operations are distinctly integrated; they manage a sprawling network of pipelines stretching thousands of kilometers, efficiently moving hydrocarbons from remote production sites to bustling markets. This infrastructure supports a diversified array of services, including the collection, processing, transmission, and storage of energy commodities. Pembina’s revenue streams are intricately designed to capitalize on its extensive infrastructure. The company generates income primarily through fee-for-service contracts, which offer stability amidst fluctuating commodity prices. This model provides predictability and ensures steady cash flows, as customers pay for the guaranteed delivery of their products across Pembina's vast network, regardless of market volatility. Additionally, Pembina taps into vertically integrated opportunities such as product marketing and logistics, further enhancing its financial performance. The combination of strategic acquisitions and organic growth initiatives has bolstered Pembina’s position as a robust, reliable partner within the dynamic energy landscape, navigating the sector's complexities with astute operational efficiency.

See Also
What is Pembina Pipeline Corp's Cash from Operating Activities?
Cash from Operating Activities
3.2B
CAD
Based on the financial report for Dec 31, 2024, Pembina Pipeline Corp's Cash from Operating Activities amounts to 3.2B CAD.
What is Pembina Pipeline Corp's Cash from Operating Activities growth rate?
Cash from Operating Activities CAGR 10Y
15%
Over the last year, the Cash from Operating Activities growth was 22%. The average annual Cash from Operating Activities growth rates for Pembina Pipeline Corp have been 7% over the past three years , 5% over the past five years , and 15% over the past ten years .