Enbridge

ENB · TSX · CAD

$65.54Change from previous close: −0.35%Absolute change: −$0.23

Close · October 2, 2026

At a glance

Revenue growth
+21.92%
2025 vs 2024
Net income growth
+37.68%
2025 vs 2024
Net margin
11.5%
2024: 10.2%

Financial data

Amounts in millions of CAD; per-share values in CAD; shares in millions.

Cash flow · Annual
Item2025202420232022202120202019201820172016
Operating cash flow12,27012,60014,20111,2309,2569,7819,39810,5026,6585,205
Depreciation and amortization5,6615,1674,6134,3173,8523,7123,3913,2463,1632,240
Capital expenditure-8,973-6,711-4,654-4,647-7,818-5,405-5,492-6,806-8,287-5,128
Investing cash flow-10,503-20,363-6,043-5,270-10,657-5,177-4,658-3,017-11,037-5,152
Financing cash flow-2,4003,544-2,864-5,4281,236-4,770-4,745-7,5033,476840
Dividends paid-8,639-8,262-7,628-7,306-7,133-6,940-6,356-3,844-3,080-1,443
Share repurchases0.00.0-125-151——————
Debt issued12,79416,32315,4488,02811,3866,9957,0013,53710,2044,080
Debt repaid-6,849-6,633-14,572-5,531-2,264-4,463-4,795-7,121-6,303-4,491
Effect of exchange rates-47.0234-21655.0-5.0-20.044.068.0-72.0-19.0
Net change in cash-680-3,9855,078587-170-18639.050.0-975874
Free cash flow3,2975,8899,5476,5831,438—————
Levered free cash flow-2393,7573,9472,878-1,5591,6251,864-319-3,119-1,062