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Enbridge Inc
TSX:ENB

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Enbridge Inc
TSX:ENB
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Price: 72.85 CAD -0.15%
Market Cap: CA$158.9B

Balance Sheet

Balance Sheet Decomposition
Enbridge Inc

Balance Sheet
Enbridge Inc

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Balance Sheet
Currency: CAD
Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Cash & Cash Equivalents
41
104
106
154
140
167
542
327
243
723
1 776
756
1 261
1 015
1 494
480
518
648
452
286
861
5 901
1 803
1 094
Cash
0
0
0
0
0
0
0
0
243
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Cash Equivalents
41
104
106
154
140
167
542
327
0
723
1 776
756
1 261
1 015
1 494
480
518
648
452
286
861
5 901
1 803
1 094
Short-Term Investments
0
0
0
0
0
0
0
0
87
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Total Receivables
818
1 121
1 452
1 900
2 046
1 957
1 884
2 055
2 230
3 166
3 052
4 215
4 107
5 430
3 828
5 372
4 790
5 556
4 363
5 471
6 053
4 842
7 385
7 513
Accounts Receivables
818
1 121
1 452
1 900
2 046
1 785
1 658
1 625
1 962
3 009
2 929
4 015
3 585
5 430
3 828
5 372
4 790
5 233
3 989
5 064
5 730
4 495
7 010
7 167
Other Receivables
0
0
0
0
0
171
226
430
268
157
123
200
522
0
0
0
0
323
374
407
323
347
375
346
Inventory
584
828
792
1 021
869
709
845
784
813
823
779
1 115
1 148
1 111
1 233
1 528
1 339
1 299
1 536
1 670
2 255
1 479
1 488
1 621
Other Current Assets
0
0
0
0
0
432
438
429
488
935
993
864
1 685
41
1 232
1 835
1 925
1 210
999
1 532
2 978
2 177
2 487
2 967
Total Current Assets
1 442
2 053
2 349
3 076
3 054
3 265
3 709
3 595
3 861
5 647
6 600
6 950
8 201
7 597
7 787
9 215
8 572
8 713
7 350
8 959
12 147
14 399
13 163
13 195
PP&E Net
6 948
8 531
9 067
10 510
11 265
12 598
16 390
18 850
20 332
29 074
33 318
42 279
53 830
64 434
64 284
90 711
94 540
94 525
95 403
100 712
105 140
105 310
131 889
132 195
PP&E Gross
6 948
8 531
9 067
10 510
11 265
12 598
16 390
18 850
20 332
29 074
33 318
42 279
53 830
64 434
64 284
90 711
94 540
94 525
95 403
100 712
105 140
105 310
131 889
132 195
Accumulated Depreciation
2 601
2 951
3 361
3 900
4 397
4 732
5 338
4 767
5 549
7 045
8 501
9 727
10 974
13 366
14 611
15 102
17 644
20 240
23 383
25 973
29 540
32 558
37 962
41 140
Intangible Assets
0
0
0
253
242
212
225
488
478
711
817
1 004
1 166
1 348
1 573
3 267
2 372
2 173
2 080
4 008
4 018
3 537
4 587
3 991
Goodwill
0
0
165
367
395
388
389
372
385
440
419
445
483
80
78
34 457
34 459
33 153
32 688
32 775
32 440
31 848
36 600
35 284
Note Receivable
702
170
172
177
0
0
0
171
611
482
485
541
565
0
0
0
0
0
0
0
0
0
0
0
Long-Term Investments
3 372
2 391
2 278
1 843
2 299
2 076
2 492
2 797
2 660
3 643
3 583
4 625
5 607
7 008
6 836
16 644
16 707
16 528
13 818
13 324
15 936
16 793
20 691
21 264
Other Long-Term Assets
525
801
874
986
1 125
1 369
1 497
1 896
1 893
1 497
1 578
1 724
3 005
4 048
4 651
7 799
10 255
8 065
8 937
9 086
9 927
8 430
12 043
12 546
Other Assets
0
0
165
367
395
388
389
372
385
440
419
445
483
80
78
34 457
34 459
33 153
32 688
32 775
32 440
31 848
36 600
35 284
Total Assets
12 987
N/A
13 945
+7%
14 905
+7%
17 211
+15%
18 379
+7%
19 907
+8%
24 701
+24%
28 169
+14%
30 220
+7%
41 494
+37%
46 800
+13%
57 568
+23%
72 857
+27%
84 515
+16%
85 209
+1%
162 093
+90%
166 905
+3%
163 157
-2%
160 276
-2%
168 864
+5%
179 608
+6%
180 317
+0%
218 973
+21%
218 475
0%
Liabilities
Accounts Payable
714
907
1 276
1 625
1 724
905
548
415
232
224
123
346
494
7 399
3 840
5 292
5 445
4 557
3 519
4 560
5 340
4 334
7 082
7 593
Accrued Liabilities
103
97
84
82
95
949
1 116
1 417
1 794
2 936
2 925
3 805
3 203
324
333
634
669
1 496
731
785
850
1 056
1 352
1 255
Short-Term Debt
248
650
651
1 075
808
546
875
508
426
650
1 062
712
1 548
960
351
1 444
1 024
898
1 121
1 515
1 996
400
529
1 258
Current Portion of Long-Term Debt
652
670
734
469
597
666
719
714
224
354
652
2 811
1 004
1 990
4 100
2 871
3 259
4 420
2 974
6 164
6 045
6 084
7 729
5 031
Other Current Liabilities
0
0
0
0
0
449
850
735
779
2 001
2 307
3 054
3 252
141
3 719
4 383
4 458
4 527
5 634
5 205
6 070
5 561
7 120
5 867
Total Current Liabilities
1 717
2 323
2 744
3 251
3 224
3 515
4 107
3 789
3 455
6 165
7 069
10 728
9 501
10 814
12 343
14 624
14 855
15 898
13 979
18 229
20 301
17 435
23 812
21 004
Long-Term Debt
6 040
6 528
6 719
7 899
8 676
9 237
11 629
12 974
14 622
19 251
20 203
22 357
33 423
39 391
36 494
60 865
60 327
59 739
62 917
67 994
72 978
74 715
93 414
98 963
Deferred Income Tax
837
829
797
1 009
1 063
976
1 291
2 211
2 447
2 615
2 483
2 925
4 842
5 915
6 036
9 295
9 454
9 867
10 332
11 689
13 781
15 031
19 596
20 282
Minority Interest
561
523
515
691
715
651
797
727
658
3 781
4 258
5 067
4 264
3 441
3 969
11 664
3 965
3 364
2 996
2 542
3 511
3 029
2 993
3 591
Other Liabilities
0
148
152
92
91
254
259
1 207
1 473
2 208
2 541
2 995
4 041
6 056
4 981
7 510
8 834
8 246
8 685
7 584
9 150
8 653
13 258
12 302
Total Liabilities
9 155
N/A
10 351
+13%
10 927
+6%
12 941
+18%
13 769
+6%
14 632
+6%
18 083
+24%
20 908
+16%
22 655
+8%
34 020
+50%
36 554
+7%
44 072
+21%
56 071
+27%
65 617
+17%
63 823
-3%
103 958
+63%
97 435
-6%
97 114
0%
98 909
+2%
108 038
+9%
119 721
+11%
118 863
-1%
153 073
+29%
156 142
+2%
Equity
Common Stock
2 828
2 363
2 407
2 469
2 541
3 152
3 319
3 504
3 808
5 025
8 439
10 885
13 184
13 906
17 747
58 484
72 424
72 493
72 515
72 546
71 578
75 998
78 556
78 694
Retained Earnings
1 128
1 511
1 841
2 098
2 323
2 537
3 383
4 400
4 734
3 926
3 173
2 550
1 571
142
716
2 468
5 538
6 314
9 995
10 989
15 486
17 115
20 046
21 284
Additional Paid In Capital
0
2
5
10
18
26
38
54
59
242
522
746
2 549
3 301
3 399
3 194
0
187
277
365
275
268
275
242
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
0
0
26
15
5
37
37
10
34
67
66
5
5
11
1
25
Other Equity
123
283
276
308
272
439
122
697
1 036
1 719
1 862
670
513
1 512
919
1 085
2 550
390
1 496
1 091
3 515
2 292
7 114
4 656
Total Equity
3 832
N/A
3 594
-6%
3 978
+11%
4 270
+7%
4 611
+8%
5 275
+14%
6 619
+25%
7 261
+10%
7 565
+4%
7 474
-1%
10 246
+37%
13 496
+32%
16 786
+24%
18 898
+13%
21 386
+13%
58 135
+172%
69 470
+19%
66 043
-5%
61 367
-7%
60 826
-1%
59 887
-2%
61 454
+3%
65 900
+7%
62 333
-5%
Total Liabilities & Equity
12 987
N/A
13 945
+7%
14 905
+7%
17 211
+15%
18 379
+7%
19 907
+8%
24 701
+24%
28 169
+14%
30 220
+7%
41 494
+37%
46 800
+13%
57 568
+23%
72 857
+27%
84 515
+16%
85 209
+1%
162 093
+90%
166 905
+3%
163 157
-2%
160 276
-2%
168 864
+5%
179 608
+6%
180 317
+0%
218 973
+21%
218 475
0%
Shares Outstanding
Common Shares Outstanding
679
688
692
698
704
737
746
753
770
781
805
831
852
868
943
1 695
2 022
2 025
2 026
2 026
2 302
2 125
2 178
2 182
Preferred Shares Outstanding
5
5
5
5
5
5
5
5
5
43
151
209
265
265
295
315
315
315
315
315
277
277
277
73
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