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Fortis Inc (FTS)

Fortis Inc (FTS)
42.85 x 100 45.80 x 100
Post-market by (Cboe BZX)
44.50 -0.62 (-1.37%) 04/08/25 [NYSE]
42.85 x 100 45.80 x 100
Post-market 44.50 unch (unch) 18:09 ET
Cash Flow for Tue, Apr 8th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income 1,334,074 1,266,768 1,164,569 1,121,050 1,036,889
Depreciation Amortization 1,406,325 1,313,438 1,283,026 1,200,839 1,066,002
Income taxes - deferred 112,389 201,498 139,994 117,291 168,709
Accounts receivable -1,460 105,194 -368,447 -70,215 -62,706
Accounts payable and accrued liabilities 83,927 -288,912 345,371 130,856 -74,650
Other Working Capital 50,356 -134,085 -368,447 -114,898 -320,249
Other Operating Activity -152,529 162,236 168,454 -65,428 202,302
Operating Cash Flow $2,833,083 $2,626,136 $2,364,521 $2,319,495 $2,016,297
Cash Flows From Investing Activities
Change In Deposits N/A -17,779 -76,920 N/A N/A
PPE Investments -3,657,758 -2,952,829 -2,759,120 -2,544,503 -2,879,250
Net Acquisitions N/A 336,323 N/A N/A N/A
Purchase Sale Intangibles -150,339 -135,566 -213,838 -157,186 -135,863
Other Investing Activity -279,513 -137,788 -286,143 -238,572 -205,288
Investing Cash Flow $-3,937,271 $-2,772,073 $-3,122,183 $-2,783,075 $-3,084,538
Cash Flows From Financing Activities
Change In Short Term Borrowing -18,245 -93,341 -16,153 91,759 -308,305
Debt Issued 8,569,312 7,428,001 7,475,085 5,111,347 6,806,587
Debt Repayment -7,132,335 -896,368 -6,082,064 -4,295,096 -4,889,575
Common Stock Issued 33,571 31,854 40,768 47,874 43,297
Dividend Paid -623,249 -630,421 -568,439 -531,401 -683,794
Other Financing Activity -52,546 -5,385,615 -53,075 -64,629 22,395
Financing Cash Flow $776,507 $454,110 $796,122 $359,853 $990,606
Exchange Rate Effect 32,111 N/A 21,538 9,575 -12,691
Beginning Cash Position 456,125 154,827 100,765 198,677 276,205
End Cash Position 160,556 463,000 160,763 104,525 185,879
Net Cash Flow $-295,569 $308,173 $59,998 $-94,152 $-90,327
Free Cash Flow
Operating Cash Flow 2,833,083 2,626,136 2,364,521 2,319,495 2,016,297
Capital Expenditure -3,657,758 -2,952,829 -2,759,120 -2,544,503 -2,879,250
Free Cash Flow -824,675 -326,693 -394,599 -225,008 -862,953
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