Canadian Util Cum Red Sec Y Prf (CU_pc)

Currency in CAD
23.95
0.00(0.00%)
Real-time Data·

CU_pc Financial Summary

Key Ratios

P/E Ratio26.55
Price/Book1.88
Debt / Equity156.91%
Return on Equity6.72%
Dividend Yield5.42%
EBITDA1.67B
Fair ValueUnlock
Fair Value UpsideUnlock

Statements Highlights

Period Ending:
2015
31/12
2016
31/12
2017
31/12
2018
31/12
2019
31/12
2020
31/12
2021
31/12
2022
31/12
2023
31/12
2024
31/12
* In Millions of CAD (except for per share items)

Dividends

Payout Ratio
Payout ratio (TTM)
Earnings retained
EPS 1.46%
Dividend Yield
5.42%
Industry Median 4.88%
Annualised payout
1.30
Paid quarterly
5-Years Growth
+1.30%
Growth Streak

Earnings

Latest Release
May 07, 2025
EPS / Forecast
0.80 / --
Revenue / Forecast
1.09B / --
EPS Revisions
Last 90 days

FAQ

What were Canadian Util Cum Red Sec Y Prf's earnings for the latest quarter?

The Canadian Util Cum Red Sec Y Prf EPS (TTM) is 1.46. Canadian Util Cum Red Sec Y Prf reported sales of 1,085.00, net income of 236.00, and EPS of 0.80 for the latest quarter.

What was Canadian Util Cum Red Sec Y Prf's net income for the latest quarter?

Canadian Util Cum Red Sec Y Prf's net income for the latest quarter was 236.00.

How did Canadian Util Cum Red Sec Y Prf's performance compare year-over-year in the latest quarter?

The company's revenue moved from 981.00 in the previous quarter to 1,085.00 in the latest quarter, and net income moved from 164.00 to 236.00 compared to the previous quarter.

What is Canadian Util Cum Red Sec Y Prf's net profit margin on a TTM basis?

Canadian Util Cum Red Sec Y Prf's trailing twelve months (TTM) net profit margin is 12.83%.

How does Canadian Util Cum Red Sec Y Prf's debt to equity ratio compare to industry standards?

Canadian Util Cum Red Sec Y Prf's total debt-to-equity ratio is 156.91%.

What is Canadian Util Cum Red Sec Y Prf's return on investment on a TTM basis?

Canadian Util Cum Red Sec Y Prf's trailing twelve months (TTM) return on investment (ROI) is 6.72%.

Did Canadian Util Cum Red Sec Y Prf gain or lose cash last quarter?

In the latest quarter, Canadian Util Cum Red Sec Y Prf's net change in cash was -2.00 million.

What were Canadian Util Cum Red Sec Y Prf's total assets and liabilities in the latest quarter?

As of the latest quarter, Canadian Util Cum Red Sec Y Prf reported total assets of 24,118.00 million and total liabilities of 1,334.00 million.

How has Canadian Util Cum Red Sec Y Prf's total revenue grown this year?

Canadian Util Cum Red Sec Y Prf's total revenue was 981.00 in the previous quarter and 1,085.00 in the latest quarter.

What is Canadian Util Cum Red Sec Y Prf's gross margin on a TTM basis?

Canadian Util Cum Red Sec Y Prf's trailing twelve months (TTM) gross margin is 70.34%.

What was Canadian Util Cum Red Sec Y Prf's revenue per share for the latest quarter?

Canadian Util Cum Red Sec Y Prf's revenue per share for the latest quarter was 15.06.
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