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CHE.UN Chemtrade Logistics Income Fund

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  • 9.680
  • +0.040+0.41%
15min DelayTrading May 8 12:26 ET
1.12BMarket Cap9.31P/E (TTM)

Chemtrade Logistics Income Fund Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-13.37%347.8M
1.40%99.99M
10.90%143.24M
-14.39%102.15M
-95.56%2.41M
8.74%401.46M
-5.74%98.61M
-9.97%129.17M
42.09%119.32M
46.43%54.37M
Net income from continuing operations
-49.10%126.91M
-12.02%10.27M
-15.12%60.08M
-83.28%14.6M
-47.25%41.96M
128.49%249.32M
199.40%11.68M
-6.05%70.78M
150.68%87.33M
644.27%79.53M
Operating gains losses
200.76%34.56M
167.55%23.1M
-30.28%4.36M
134.89%2.26M
4,435.51%4.85M
-46.93%-34.3M
-211.56%-34.19M
7.61%6.25M
52.06%-6.47M
102.54%107K
Depreciation and amortization
-13.31%188.55M
-13.05%49.93M
-16.88%45.5M
-9.33%48.22M
-13.90%44.89M
0.25%217.49M
4.55%57.42M
-3.28%54.74M
-0.08%53.19M
-0.12%52.14M
Asset impairment expenditure
--3.83M
----
----
----
----
--0
----
----
----
----
Unrealized gains and losses of investment securities
154.91%18.58M
-90.50%1.82M
81.62%-2.67M
592.87%26.05M
80.07%-6.62M
-543.89%-33.84M
-24.00%19.19M
49.59%-14.53M
-19.44%-5.29M
-312.56%-33.21M
Deferred tax
4.44%43.92M
-28.37%7.25M
-17.16%13.81M
665.06%10.62M
-11.75%12.24M
-29.99%42.05M
-69.02%10.12M
29.52%16.67M
142.23%1.39M
-22.12%13.88M
Other non cashItems
-12.07%54.44M
-39.37%12.39M
95.87%16.08M
-4.89%13.37M
-34.40%12.61M
2.41%61.91M
44.56%20.43M
-46.24%8.21M
-5.46%14.05M
22.32%19.23M
Change In working capital
-159,581.25%-25.55M
-49.18%17.43M
305.63%29.68M
68.24%5.95M
-74.02%-78.61M
-100.27%-16K
99.63%34.31M
-67.58%7.32M
-85.26%3.54M
21.78%-45.17M
Interest paid (cash flow from operating activities)
-8.46%-48.04M
16.09%-8.29M
-91.70%-15.52M
5.65%-13.35M
10.59%-10.88M
17.06%-44.29M
39.68%-9.88M
28.91%-8.1M
-6.43%-14.15M
1.43%-12.17M
Interest received (cash flow from operating activities)
-52.80%3M
-51.08%453K
-29.23%915K
-51.62%883K
-67.63%747K
165.22%6.35M
19.48%926K
105.24%1.29M
207.24%1.83M
482.83%2.31M
Tax refund paid
17.11%-52.4M
-59.75%-18.2M
33.28%-8.98M
59.99%-6.44M
15.66%-18.78M
-279.58%-63.22M
-833.01%-11.39M
-149.46%-13.47M
-78.14%-16.09M
-2,124.28%-22.27M
Cash from discontinued investing activities
Operating cash flow
-13.37%347.8M
1.40%99.99M
10.90%143.24M
-14.39%102.15M
-95.56%2.41M
8.74%401.46M
-5.74%98.61M
-9.97%129.17M
42.09%119.32M
46.43%54.37M
Investing cash flow
Cash flow from continuing investing activities
-56.85%-185.8M
-212.03%-60.72M
-21.53%-45.61M
-31.83%-44.25M
-26.25%-35.23M
-8.80%-118.46M
51.21%-19.46M
0.22%-37.53M
-120.60%-33.56M
-72.58%-27.9M
Capital expenditure reported
-11.66%-185.8M
9.91%-60.72M
-21.53%-45.61M
-31.83%-44.25M
-26.25%-35.23M
-44.14%-166.4M
-69.00%-67.4M
-18.46%-37.53M
-21.13%-33.56M
-72.58%-27.9M
Net business purchase and sale
--0
----
----
----
----
908.28%47.94M
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-56.85%-185.8M
-212.03%-60.72M
-21.53%-45.61M
-31.83%-44.25M
-26.25%-35.23M
-8.80%-118.46M
51.21%-19.46M
0.22%-37.53M
-120.60%-33.56M
-72.58%-27.9M
Financing cash flow
Cash flow from continuing financing activities
52.24%-159.3M
66.79%-30.83M
-28.08%-116.39M
72.54%-50.41M
13.60%38.34M
-64.30%-333.53M
-229.76%-92.84M
3.52%-90.87M
-180.11%-183.57M
323.08%33.75M
Net issuance payments of debt
92.63%-19.93M
123.82%18.69M
16.83%-63.58M
81.62%-31.08M
4.88%56.04M
-17.26%-270.52M
-473.12%-78.46M
53.10%-76.45M
-223.67%-169.05M
3,110.42%53.44M
Net common stock issuance
---60.62M
---34.26M
---26.37M
----
----
--0
--0
--0
----
----
Cash dividends paid
-32.02%-76.61M
-38.88%-19.97M
-35.95%-19.61M
-33.14%-19.33M
-20.36%-17.7M
-5.99%-58.03M
0.57%-14.38M
-5.80%-14.42M
-9.13%-14.52M
-10.15%-14.71M
Net other financing activities
57.15%-2.13M
--4.71M
---6.84M
----
----
-21.73%-4.98M
--0
----
----
---4.98M
Cash from discontinued financing activities
Financing cash flow
52.24%-159.3M
66.79%-30.83M
-28.08%-116.39M
72.54%-50.41M
13.60%38.34M
-64.30%-333.53M
-229.76%-92.84M
3.52%-90.87M
-180.11%-183.57M
323.08%33.75M
Net cash flow
Beginning cash position
-70.34%21.52M
-54.37%16.34M
2.70%35.27M
-79.25%27.54M
-70.34%21.52M
421.78%72.57M
-2.97%35.8M
47.14%34.34M
579.51%132.72M
421.78%72.57M
Current changes in cash
105.34%2.7M
161.65%8.44M
-2,558.72%-18.76M
107.66%7.5M
-90.83%5.52M
-188.16%-50.52M
-137.42%-13.69M
-93.46%763K
-3,131.14%-97.82M
931.63%60.22M
Effect of exchange rate changes
344.91%1.28M
224.01%723K
-125.87%-178K
142.09%234K
810.00%497K
-138.56%-521K
35.08%-583K
-63.40%688K
-195.37%-556K
67.29%-70K
End cash Position
18.46%25.5M
18.46%25.5M
-54.37%16.34M
2.70%35.27M
-79.25%27.54M
-70.34%21.52M
-70.34%21.52M
-2.97%35.8M
47.14%34.34M
579.51%132.72M
Free cash from
-31.09%162M
25.84%39.27M
6.55%97.63M
-32.48%57.9M
-223.98%-32.82M
-7.36%235.07M
-51.79%31.21M
-18.03%91.64M
52.41%85.75M
26.25%26.47M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -13.37%347.8M1.40%99.99M10.90%143.24M-14.39%102.15M-95.56%2.41M8.74%401.46M-5.74%98.61M-9.97%129.17M42.09%119.32M46.43%54.37M
Net income from continuing operations -49.10%126.91M-12.02%10.27M-15.12%60.08M-83.28%14.6M-47.25%41.96M128.49%249.32M199.40%11.68M-6.05%70.78M150.68%87.33M644.27%79.53M
Operating gains losses 200.76%34.56M167.55%23.1M-30.28%4.36M134.89%2.26M4,435.51%4.85M-46.93%-34.3M-211.56%-34.19M7.61%6.25M52.06%-6.47M102.54%107K
Depreciation and amortization -13.31%188.55M-13.05%49.93M-16.88%45.5M-9.33%48.22M-13.90%44.89M0.25%217.49M4.55%57.42M-3.28%54.74M-0.08%53.19M-0.12%52.14M
Asset impairment expenditure --3.83M------------------0----------------
Unrealized gains and losses of investment securities 154.91%18.58M-90.50%1.82M81.62%-2.67M592.87%26.05M80.07%-6.62M-543.89%-33.84M-24.00%19.19M49.59%-14.53M-19.44%-5.29M-312.56%-33.21M
Deferred tax 4.44%43.92M-28.37%7.25M-17.16%13.81M665.06%10.62M-11.75%12.24M-29.99%42.05M-69.02%10.12M29.52%16.67M142.23%1.39M-22.12%13.88M
Other non cashItems -12.07%54.44M-39.37%12.39M95.87%16.08M-4.89%13.37M-34.40%12.61M2.41%61.91M44.56%20.43M-46.24%8.21M-5.46%14.05M22.32%19.23M
Change In working capital -159,581.25%-25.55M-49.18%17.43M305.63%29.68M68.24%5.95M-74.02%-78.61M-100.27%-16K99.63%34.31M-67.58%7.32M-85.26%3.54M21.78%-45.17M
Interest paid (cash flow from operating activities) -8.46%-48.04M16.09%-8.29M-91.70%-15.52M5.65%-13.35M10.59%-10.88M17.06%-44.29M39.68%-9.88M28.91%-8.1M-6.43%-14.15M1.43%-12.17M
Interest received (cash flow from operating activities) -52.80%3M-51.08%453K-29.23%915K-51.62%883K-67.63%747K165.22%6.35M19.48%926K105.24%1.29M207.24%1.83M482.83%2.31M
Tax refund paid 17.11%-52.4M-59.75%-18.2M33.28%-8.98M59.99%-6.44M15.66%-18.78M-279.58%-63.22M-833.01%-11.39M-149.46%-13.47M-78.14%-16.09M-2,124.28%-22.27M
Cash from discontinued investing activities
Operating cash flow -13.37%347.8M1.40%99.99M10.90%143.24M-14.39%102.15M-95.56%2.41M8.74%401.46M-5.74%98.61M-9.97%129.17M42.09%119.32M46.43%54.37M
Investing cash flow
Cash flow from continuing investing activities -56.85%-185.8M-212.03%-60.72M-21.53%-45.61M-31.83%-44.25M-26.25%-35.23M-8.80%-118.46M51.21%-19.46M0.22%-37.53M-120.60%-33.56M-72.58%-27.9M
Capital expenditure reported -11.66%-185.8M9.91%-60.72M-21.53%-45.61M-31.83%-44.25M-26.25%-35.23M-44.14%-166.4M-69.00%-67.4M-18.46%-37.53M-21.13%-33.56M-72.58%-27.9M
Net business purchase and sale --0----------------908.28%47.94M----------------
Cash from discontinued investing activities
Investing cash flow -56.85%-185.8M-212.03%-60.72M-21.53%-45.61M-31.83%-44.25M-26.25%-35.23M-8.80%-118.46M51.21%-19.46M0.22%-37.53M-120.60%-33.56M-72.58%-27.9M
Financing cash flow
Cash flow from continuing financing activities 52.24%-159.3M66.79%-30.83M-28.08%-116.39M72.54%-50.41M13.60%38.34M-64.30%-333.53M-229.76%-92.84M3.52%-90.87M-180.11%-183.57M323.08%33.75M
Net issuance payments of debt 92.63%-19.93M123.82%18.69M16.83%-63.58M81.62%-31.08M4.88%56.04M-17.26%-270.52M-473.12%-78.46M53.10%-76.45M-223.67%-169.05M3,110.42%53.44M
Net common stock issuance ---60.62M---34.26M---26.37M----------0--0--0--------
Cash dividends paid -32.02%-76.61M-38.88%-19.97M-35.95%-19.61M-33.14%-19.33M-20.36%-17.7M-5.99%-58.03M0.57%-14.38M-5.80%-14.42M-9.13%-14.52M-10.15%-14.71M
Net other financing activities 57.15%-2.13M--4.71M---6.84M---------21.73%-4.98M--0-----------4.98M
Cash from discontinued financing activities
Financing cash flow 52.24%-159.3M66.79%-30.83M-28.08%-116.39M72.54%-50.41M13.60%38.34M-64.30%-333.53M-229.76%-92.84M3.52%-90.87M-180.11%-183.57M323.08%33.75M
Net cash flow
Beginning cash position -70.34%21.52M-54.37%16.34M2.70%35.27M-79.25%27.54M-70.34%21.52M421.78%72.57M-2.97%35.8M47.14%34.34M579.51%132.72M421.78%72.57M
Current changes in cash 105.34%2.7M161.65%8.44M-2,558.72%-18.76M107.66%7.5M-90.83%5.52M-188.16%-50.52M-137.42%-13.69M-93.46%763K-3,131.14%-97.82M931.63%60.22M
Effect of exchange rate changes 344.91%1.28M224.01%723K-125.87%-178K142.09%234K810.00%497K-138.56%-521K35.08%-583K-63.40%688K-195.37%-556K67.29%-70K
End cash Position 18.46%25.5M18.46%25.5M-54.37%16.34M2.70%35.27M-79.25%27.54M-70.34%21.52M-70.34%21.52M-2.97%35.8M47.14%34.34M579.51%132.72M
Free cash from -31.09%162M25.84%39.27M6.55%97.63M-32.48%57.9M-223.98%-32.82M-7.36%235.07M-51.79%31.21M-18.03%91.64M52.41%85.75M26.25%26.47M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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