Suncor Energy

SU · TSX · CAD

$99.15Change from previous close: +0.87%Absolute change: +$0.86

Close · October 2, 2026

At a glance

Revenue growth
−3.51%
2025 vs 2024
Net income growth
−1.63%
2025 vs 2024
Net margin
12.1%
2024: 11.9%

Financial data

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

Cash flow · Annual
Item2025202420232022202120202019201820172016
Operating cash flow12,78115,96012,34415,68011,7642,67510,42110,5808,9665,680
Depreciation and amortization7,4927,5466,7145,6356,3758,4287,4906,0045,8486,386
Capital expenditure-5,856-6,483-5,936-5,120-4,555-3,926-5,558-5,406-6,551-6,582
Investing cash flow-6,022-6,472-6,511-4,789-3,977-4,524-5,088-6,697-5,019-7,507
Financing cash flow-6,468-7,882-5,990-11,228-7,4641,786-5,537-4,426-4,223869
Dividends paid-2,809-2,803-2,749-2,596-1,550-1,670-2,614-2,333-2,124-1,877
Share repurchases-3,129-2,908-2,233-5,135-2,304-307-2,274-3,053-1,413—
Debt issued9960.01,5001,4731,4234,0795578661,8861,524
Debt repaid-1,690-2,540-2,679-5,457-5,032-335-1,289-186-3,283-1,693
Effect of exchange rates-125149-94.0112-3.0-12.0-57.092.0-68.0-75.0
Net change in cash1661,755-251-225320-75.0-261-451-344-1,033
Free cash flow6,9259,4776,40810,5607,209—————
Levered free cash flow6,3698,6066,1478,5847,345-2,2032,7214,0354,027-1,111