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FTS Fortis Inc

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  • 67.520
  • -1.320-1.92%
15min DelayPost Market May 8 16:00 ET
33.87BMarket Cap20.40P/E (TTM)

Fortis Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-10.37%510M
-64.80%220M
-64.80%220M
17.12%896M
-18.70%561M
-1.22%569M
199.04%625M
199.04%625M
93.67%765M
104.14%690M
-Cash and cash equivalents
-10.37%510M
-64.80%220M
-64.80%220M
17.12%896M
-18.70%561M
-1.22%569M
199.04%625M
199.04%625M
93.67%765M
104.14%690M
Receivables
0.58%1.92B
2.58%1.67B
2.58%1.67B
2.55%1.69B
13.10%1.79B
1.76%1.91B
-7.50%1.63B
-7.50%1.63B
-8.85%1.65B
-4.65%1.58B
-Accounts receivable
0.58%1.92B
13.37%1.01B
13.37%1.01B
2.55%1.69B
13.10%1.79B
1.76%1.91B
-4.30%890M
-4.30%890M
-8.85%1.65B
-4.65%1.58B
-Unbilled accounts receivable
----
1.51%738M
1.51%738M
----
----
----
-18.04%727M
-18.04%727M
----
----
-Taxes receivable
----
--0
--0
----
----
----
--78M
--78M
----
----
-Recievables adjustments allowances
----
-14.71%-78M
-14.71%-78M
----
----
----
-17.24%-68M
-17.24%-68M
----
----
Inventory
24.31%680M
21.02%685M
21.02%685M
3.23%607M
11.61%596M
-3.87%547M
-14.37%566M
-14.37%566M
-14.78%588M
0.19%534M
Prepaid assets
14.94%177M
21.33%182M
21.33%182M
12.56%233M
19.14%193M
6.21%154M
2.74%150M
2.74%150M
6.15%207M
68.75%162M
Holding assets for sale
----
----
----
----
----
----
----
----
--569M
--561M
Other current assets
3.21%837M
-1.61%1.04B
-1.61%1.04B
5.64%787M
6.85%780M
-18.49%811M
-29.25%1.06B
-29.25%1.06B
0.81%745M
30.59%730M
Total current assets
3.36%4.12B
-5.69%3.8B
-5.69%3.8B
-6.83%4.21B
-7.99%3.92B
-4.11%3.99B
-5.72%4.03B
-5.72%4.03B
18.16%4.52B
33.74%4.26B
Non current assets
Net PPE
12.59%50.24B
14.01%49.52B
14.01%49.52B
7.20%46.33B
9.24%45.64B
5.76%44.62B
4.15%43.44B
4.15%43.44B
4.02%43.22B
6.81%41.78B
-Gross PPE
----
13.31%66.14B
13.31%66.14B
----
----
----
3.85%58.37B
3.85%58.37B
----
----
-Accumulated depreciation
----
-11.27%-16.62B
-11.27%-16.62B
----
----
----
-2.99%-14.94B
-2.99%-14.94B
----
----
Investments and advances
----
16.07%484M
16.07%484M
----
----
----
31.96%417M
31.96%417M
----
----
-Long term equity investment
----
9.28%259M
9.28%259M
----
----
----
17.91%237M
17.91%237M
----
----
-Other investment
----
25.00%225M
25.00%225M
----
----
----
56.52%180M
56.52%180M
----
----
Financial assets
----
11.63%48M
11.63%48M
----
----
----
-63.56%43M
-63.56%43M
----
----
Goodwill and other intangible assets
5.97%14.8B
7.88%14.77B
7.88%14.77B
0.01%13.97B
3.06%14.09B
0.13%13.96B
-2.27%13.69B
-2.27%13.69B
-1.37%13.97B
2.78%13.68B
-Goodwill
5.55%13.12B
7.62%13.11B
7.62%13.11B
-0.31%12.42B
2.91%12.54B
-0.06%12.43B
-2.25%12.18B
-2.25%12.18B
-1.83%12.46B
2.28%12.18B
-Other intangible assets
9.37%1.68B
10.00%1.66B
10.00%1.66B
2.64%1.56B
4.22%1.56B
1.72%1.54B
-2.45%1.51B
-2.45%1.51B
2.57%1.52B
7.03%1.49B
Defined pension benefit
----
43.64%678M
43.64%678M
----
----
----
10.02%472M
10.02%472M
----
----
Regulatory assets
4.27%3.83B
8.24%3.81B
8.24%3.81B
12.92%3.77B
16.62%3.76B
16.42%3.67B
13.67%3.52B
13.67%3.52B
1.37%3.34B
-1.56%3.23B
Non current deferred assets
----
31.82%29M
31.82%29M
----
----
----
-45.00%22M
-45.00%22M
----
----
Other non current assets
29.34%1.73B
19.45%350M
19.45%350M
10.02%1.36B
19.02%1.36B
13.61%1.34B
9.74%293M
9.74%293M
-1.28%1.24B
6.51%1.15B
Total non current assets
11.01%70.59B
12.59%69.69B
12.59%69.69B
5.94%65.43B
8.41%64.86B
5.17%63.59B
3.19%61.9B
3.19%61.9B
2.50%61.76B
5.38%59.82B
Total assets
10.56%74.72B
11.48%73.49B
11.48%73.49B
5.06%69.64B
7.32%68.77B
4.57%67.58B
2.60%65.92B
2.60%65.92B
3.43%66.29B
6.88%64.08B
Liabilities
Current liabilities
Current debt and capital lease obligation
-53.76%1.5B
-13.54%2.09B
-13.54%2.09B
-31.17%1.96B
14.13%2.7B
19.06%3.24B
-11.67%2.42B
-11.67%2.42B
1.78%2.85B
9.65%2.36B
-Current debt
-53.76%1.5B
-13.54%2.09B
-13.54%2.09B
-31.17%1.96B
14.13%2.7B
19.06%3.24B
-11.67%2.42B
-11.67%2.42B
1.78%2.85B
9.65%2.36B
Payables
21.39%3.38B
9.85%2.26B
9.85%2.26B
7.76%3.1B
-2.30%2.38B
-5.81%2.79B
-11.05%2.06B
-11.05%2.06B
1.52%2.88B
3.62%2.43B
-accounts payable
21.39%3.38B
13.23%1.12B
13.23%1.12B
7.76%3.1B
-2.30%2.38B
-5.81%2.79B
11.74%990M
11.74%990M
1.52%2.88B
3.62%2.43B
-Total tax payable
----
13.43%304M
13.43%304M
----
----
----
-27.57%268M
-27.57%268M
----
----
-Dividends payable
----
6.44%314M
6.44%314M
----
----
----
6.12%295M
6.12%295M
----
----
-Other payable
----
3.35%524M
3.35%524M
----
----
----
-35.17%507M
-35.17%507M
----
----
Current accrued expenses
----
11.31%305M
11.31%305M
----
----
----
7.87%274M
7.87%274M
----
----
Pension and other retirement benefit plans
----
3.57%29M
3.57%29M
----
----
----
0.00%28M
0.00%28M
----
----
Current deferred liabilities
----
36.88%360M
36.88%360M
----
----
----
-34.41%263M
-34.41%263M
----
----
Other current liabilities
-3.99%554M
7.25%991M
7.25%991M
3.90%666M
-1.78%607M
23.03%577M
4.52%924M
4.52%924M
25.93%641M
27.69%618M
Current liabilities
-17.71%5.44B
1.21%6.04B
1.21%6.04B
-10.07%5.73B
4.93%5.68B
7.40%6.61B
-9.87%5.96B
-9.87%5.96B
3.66%6.37B
8.56%5.41B
Non current liabilities
Long term debt and capital lease obligation
18.75%32.91B
14.49%31.61B
14.49%31.61B
9.24%30.06B
6.87%29.01B
3.36%27.71B
4.99%27.61B
4.99%27.61B
4.73%27.51B
9.05%27.14B
-Long term debt
18.97%32.56B
14.65%31.22B
14.65%31.22B
9.34%29.71B
6.95%28.67B
3.39%27.36B
5.03%27.24B
5.03%27.24B
4.79%27.17B
9.17%26.81B
-Long term capital lease obligation
1.15%351M
3.17%390M
3.17%390M
1.46%347M
0.90%338M
0.87%347M
2.16%378M
2.16%378M
0.29%342M
0.60%335M
Derivative product liabilities
----
37.50%66M
37.50%66M
----
----
----
-33.33%48M
-33.33%48M
----
----
Long term provisions
----
35.89%390M
35.89%390M
----
----
----
-6.82%287M
-6.82%287M
----
----
Employee benefits
----
-8.21%559M
-8.21%559M
----
----
----
21.31%609M
21.31%609M
----
----
Regulatory liabilities
9.93%3.78B
9.32%3.7B
9.32%3.7B
-1.49%3.44B
7.37%3.47B
1.99%3.43B
1.84%3.38B
1.84%3.38B
6.55%3.5B
5.91%3.23B
Non current deferred liabilities
11.98%5.09B
12.77%5.21B
12.77%5.21B
12.95%4.74B
15.90%4.66B
10.97%4.54B
9.63%4.62B
9.63%4.62B
4.76%4.2B
5.60%4.02B
Other non current liabilities
3.52%1.32B
-6.15%61M
-6.15%61M
9.97%1.28B
18.26%1.3B
13.39%1.28B
-13.33%65M
-13.33%65M
-18.67%1.16B
-19.28%1.1B
Total non current liabilities
16.57%43.09B
13.58%41.6B
13.58%41.6B
8.66%39.52B
8.30%38.43B
4.43%36.96B
5.26%36.62B
5.26%36.62B
3.95%36.37B
7.20%35.49B
Total liabilities
11.38%48.53B
11.85%47.63B
11.85%47.63B
5.87%45.25B
7.85%44.12B
4.87%43.57B
2.84%42.59B
2.84%42.59B
3.90%42.74B
7.38%40.9B
Shareholders'equity
Share capital
2.95%17.35B
2.87%17.21B
2.87%17.21B
2.84%17.09B
2.77%16.97B
2.80%16.86B
2.78%16.73B
2.78%16.73B
2.69%16.62B
2.64%16.51B
-common stock
3.26%15.73B
3.18%15.59B
3.18%15.59B
3.15%15.47B
3.07%15.35B
3.11%15.23B
3.08%15.11B
3.08%15.11B
2.99%14.99B
2.93%14.89B
-Preferred stock
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
Additional paid-in capital
-25.00%6M
-11.11%8M
-11.11%8M
-11.11%8M
0.00%8M
0.00%8M
-10.00%9M
-10.00%9M
12.50%9M
0.00%8M
Retained earnings
10.10%4.71B
9.95%4.52B
9.95%4.52B
10.27%4.43B
10.05%4.61B
9.83%4.28B
10.15%4.11B
10.15%4.11B
10.59%4.02B
9.20%4.19B
Gains losses not affecting retained earnings
107.01%2.07B
216.54%2.07B
216.54%2.07B
-7.36%969M
73.54%1.16B
3.21%998M
-35.22%653M
-35.22%653M
-19.54%1.05B
184.68%669M
Total stockholders'equity
9.01%24.14B
10.71%23.81B
10.71%23.81B
3.72%22.5B
6.41%22.75B
4.10%22.14B
2.26%21.51B
2.26%21.51B
2.69%21.69B
6.00%21.38B
Noncontrolling interests
9.76%2.06B
11.93%2.05B
11.93%2.05B
2.16%1.89B
6.12%1.91B
3.25%1.88B
0.83%1.83B
0.83%1.83B
1.48%1.85B
6.26%1.8B
Total equity
9.07%26.19B
10.80%25.85B
10.80%25.85B
3.60%24.39B
6.39%24.66B
4.04%24.02B
2.15%23.33B
2.15%23.33B
2.59%23.55B
6.02%23.18B
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
--
--
--
(Q1)Mar 31, 2025(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
Assets
Current assets
Cash, cash equivalents and short term investments -10.37%510M-64.80%220M-64.80%220M17.12%896M-18.70%561M-1.22%569M199.04%625M199.04%625M93.67%765M104.14%690M
-Cash and cash equivalents -10.37%510M-64.80%220M-64.80%220M17.12%896M-18.70%561M-1.22%569M199.04%625M199.04%625M93.67%765M104.14%690M
Receivables 0.58%1.92B2.58%1.67B2.58%1.67B2.55%1.69B13.10%1.79B1.76%1.91B-7.50%1.63B-7.50%1.63B-8.85%1.65B-4.65%1.58B
-Accounts receivable 0.58%1.92B13.37%1.01B13.37%1.01B2.55%1.69B13.10%1.79B1.76%1.91B-4.30%890M-4.30%890M-8.85%1.65B-4.65%1.58B
-Unbilled accounts receivable ----1.51%738M1.51%738M-------------18.04%727M-18.04%727M--------
-Taxes receivable ------0--0--------------78M--78M--------
-Recievables adjustments allowances -----14.71%-78M-14.71%-78M-------------17.24%-68M-17.24%-68M--------
Inventory 24.31%680M21.02%685M21.02%685M3.23%607M11.61%596M-3.87%547M-14.37%566M-14.37%566M-14.78%588M0.19%534M
Prepaid assets 14.94%177M21.33%182M21.33%182M12.56%233M19.14%193M6.21%154M2.74%150M2.74%150M6.15%207M68.75%162M
Holding assets for sale ----------------------------------569M--561M
Other current assets 3.21%837M-1.61%1.04B-1.61%1.04B5.64%787M6.85%780M-18.49%811M-29.25%1.06B-29.25%1.06B0.81%745M30.59%730M
Total current assets 3.36%4.12B-5.69%3.8B-5.69%3.8B-6.83%4.21B-7.99%3.92B-4.11%3.99B-5.72%4.03B-5.72%4.03B18.16%4.52B33.74%4.26B
Non current assets
Net PPE 12.59%50.24B14.01%49.52B14.01%49.52B7.20%46.33B9.24%45.64B5.76%44.62B4.15%43.44B4.15%43.44B4.02%43.22B6.81%41.78B
-Gross PPE ----13.31%66.14B13.31%66.14B------------3.85%58.37B3.85%58.37B--------
-Accumulated depreciation -----11.27%-16.62B-11.27%-16.62B-------------2.99%-14.94B-2.99%-14.94B--------
Investments and advances ----16.07%484M16.07%484M------------31.96%417M31.96%417M--------
-Long term equity investment ----9.28%259M9.28%259M------------17.91%237M17.91%237M--------
-Other investment ----25.00%225M25.00%225M------------56.52%180M56.52%180M--------
Financial assets ----11.63%48M11.63%48M-------------63.56%43M-63.56%43M--------
Goodwill and other intangible assets 5.97%14.8B7.88%14.77B7.88%14.77B0.01%13.97B3.06%14.09B0.13%13.96B-2.27%13.69B-2.27%13.69B-1.37%13.97B2.78%13.68B
-Goodwill 5.55%13.12B7.62%13.11B7.62%13.11B-0.31%12.42B2.91%12.54B-0.06%12.43B-2.25%12.18B-2.25%12.18B-1.83%12.46B2.28%12.18B
-Other intangible assets 9.37%1.68B10.00%1.66B10.00%1.66B2.64%1.56B4.22%1.56B1.72%1.54B-2.45%1.51B-2.45%1.51B2.57%1.52B7.03%1.49B
Defined pension benefit ----43.64%678M43.64%678M------------10.02%472M10.02%472M--------
Regulatory assets 4.27%3.83B8.24%3.81B8.24%3.81B12.92%3.77B16.62%3.76B16.42%3.67B13.67%3.52B13.67%3.52B1.37%3.34B-1.56%3.23B
Non current deferred assets ----31.82%29M31.82%29M-------------45.00%22M-45.00%22M--------
Other non current assets 29.34%1.73B19.45%350M19.45%350M10.02%1.36B19.02%1.36B13.61%1.34B9.74%293M9.74%293M-1.28%1.24B6.51%1.15B
Total non current assets 11.01%70.59B12.59%69.69B12.59%69.69B5.94%65.43B8.41%64.86B5.17%63.59B3.19%61.9B3.19%61.9B2.50%61.76B5.38%59.82B
Total assets 10.56%74.72B11.48%73.49B11.48%73.49B5.06%69.64B7.32%68.77B4.57%67.58B2.60%65.92B2.60%65.92B3.43%66.29B6.88%64.08B
Liabilities
Current liabilities
Current debt and capital lease obligation -53.76%1.5B-13.54%2.09B-13.54%2.09B-31.17%1.96B14.13%2.7B19.06%3.24B-11.67%2.42B-11.67%2.42B1.78%2.85B9.65%2.36B
-Current debt -53.76%1.5B-13.54%2.09B-13.54%2.09B-31.17%1.96B14.13%2.7B19.06%3.24B-11.67%2.42B-11.67%2.42B1.78%2.85B9.65%2.36B
Payables 21.39%3.38B9.85%2.26B9.85%2.26B7.76%3.1B-2.30%2.38B-5.81%2.79B-11.05%2.06B-11.05%2.06B1.52%2.88B3.62%2.43B
-accounts payable 21.39%3.38B13.23%1.12B13.23%1.12B7.76%3.1B-2.30%2.38B-5.81%2.79B11.74%990M11.74%990M1.52%2.88B3.62%2.43B
-Total tax payable ----13.43%304M13.43%304M-------------27.57%268M-27.57%268M--------
-Dividends payable ----6.44%314M6.44%314M------------6.12%295M6.12%295M--------
-Other payable ----3.35%524M3.35%524M-------------35.17%507M-35.17%507M--------
Current accrued expenses ----11.31%305M11.31%305M------------7.87%274M7.87%274M--------
Pension and other retirement benefit plans ----3.57%29M3.57%29M------------0.00%28M0.00%28M--------
Current deferred liabilities ----36.88%360M36.88%360M-------------34.41%263M-34.41%263M--------
Other current liabilities -3.99%554M7.25%991M7.25%991M3.90%666M-1.78%607M23.03%577M4.52%924M4.52%924M25.93%641M27.69%618M
Current liabilities -17.71%5.44B1.21%6.04B1.21%6.04B-10.07%5.73B4.93%5.68B7.40%6.61B-9.87%5.96B-9.87%5.96B3.66%6.37B8.56%5.41B
Non current liabilities
Long term debt and capital lease obligation 18.75%32.91B14.49%31.61B14.49%31.61B9.24%30.06B6.87%29.01B3.36%27.71B4.99%27.61B4.99%27.61B4.73%27.51B9.05%27.14B
-Long term debt 18.97%32.56B14.65%31.22B14.65%31.22B9.34%29.71B6.95%28.67B3.39%27.36B5.03%27.24B5.03%27.24B4.79%27.17B9.17%26.81B
-Long term capital lease obligation 1.15%351M3.17%390M3.17%390M1.46%347M0.90%338M0.87%347M2.16%378M2.16%378M0.29%342M0.60%335M
Derivative product liabilities ----37.50%66M37.50%66M-------------33.33%48M-33.33%48M--------
Long term provisions ----35.89%390M35.89%390M-------------6.82%287M-6.82%287M--------
Employee benefits -----8.21%559M-8.21%559M------------21.31%609M21.31%609M--------
Regulatory liabilities 9.93%3.78B9.32%3.7B9.32%3.7B-1.49%3.44B7.37%3.47B1.99%3.43B1.84%3.38B1.84%3.38B6.55%3.5B5.91%3.23B
Non current deferred liabilities 11.98%5.09B12.77%5.21B12.77%5.21B12.95%4.74B15.90%4.66B10.97%4.54B9.63%4.62B9.63%4.62B4.76%4.2B5.60%4.02B
Other non current liabilities 3.52%1.32B-6.15%61M-6.15%61M9.97%1.28B18.26%1.3B13.39%1.28B-13.33%65M-13.33%65M-18.67%1.16B-19.28%1.1B
Total non current liabilities 16.57%43.09B13.58%41.6B13.58%41.6B8.66%39.52B8.30%38.43B4.43%36.96B5.26%36.62B5.26%36.62B3.95%36.37B7.20%35.49B
Total liabilities 11.38%48.53B11.85%47.63B11.85%47.63B5.87%45.25B7.85%44.12B4.87%43.57B2.84%42.59B2.84%42.59B3.90%42.74B7.38%40.9B
Shareholders'equity
Share capital 2.95%17.35B2.87%17.21B2.87%17.21B2.84%17.09B2.77%16.97B2.80%16.86B2.78%16.73B2.78%16.73B2.69%16.62B2.64%16.51B
-common stock 3.26%15.73B3.18%15.59B3.18%15.59B3.15%15.47B3.07%15.35B3.11%15.23B3.08%15.11B3.08%15.11B2.99%14.99B2.93%14.89B
-Preferred stock 0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B
Additional paid-in capital -25.00%6M-11.11%8M-11.11%8M-11.11%8M0.00%8M0.00%8M-10.00%9M-10.00%9M12.50%9M0.00%8M
Retained earnings 10.10%4.71B9.95%4.52B9.95%4.52B10.27%4.43B10.05%4.61B9.83%4.28B10.15%4.11B10.15%4.11B10.59%4.02B9.20%4.19B
Gains losses not affecting retained earnings 107.01%2.07B216.54%2.07B216.54%2.07B-7.36%969M73.54%1.16B3.21%998M-35.22%653M-35.22%653M-19.54%1.05B184.68%669M
Total stockholders'equity 9.01%24.14B10.71%23.81B10.71%23.81B3.72%22.5B6.41%22.75B4.10%22.14B2.26%21.51B2.26%21.51B2.69%21.69B6.00%21.38B
Noncontrolling interests 9.76%2.06B11.93%2.05B11.93%2.05B2.16%1.89B6.12%1.91B3.25%1.88B0.83%1.83B0.83%1.83B1.48%1.85B6.26%1.8B
Total equity 9.07%26.19B10.80%25.85B10.80%25.85B3.60%24.39B6.39%24.66B4.04%24.02B2.15%23.33B2.15%23.33B2.59%23.55B6.02%23.18B
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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