Enbridge Inc Financial Ratios for Analysis 2009-2024 | ENB

Fifteen years of historical annual and quarterly financial ratios and margins for Enbridge Inc (ENB).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.830.600.490.530.550.580.630.650.700.860.650.930.881.120.95
0.540.540.520.490.460.450.480.620.660.610.550.580.610.640.62
1.261.281.191.040.940.880.991.892.101.711.391.491.681.851.78
51.0538.8739.0247.1238.0836.6135.4730.5425.3121.6718.5621.8123.4425.3627.72
20.7815.3516.5820.3617.3414.9613.8311.456.818.504.155.639.759.9610.12
20.7815.3516.5820.3617.3414.9613.8311.456.818.504.155.639.759.9610.12
31.3523.4524.7629.8524.1121.9620.9517.9312.8012.698.3110.3914.5815.6716.24
18.058.5216.4210.7215.057.701.287.090.035.771.864.238.398.1415.28
13.384.8612.367.6310.635.425.705.14-0.114.151.503.735.466.4112.53
0.240.300.280.240.310.280.270.400.400.520.570.540.560.500.44
14.4514.4517.1913.4623.8721.9618.7419.4722.7225.6824.0425.4020.1013.8911.49
9.715.936.757.347.317.036.256.926.226.556.566.296.195.595.02
37.5961.5254.0449.7249.9451.9158.4052.7258.7255.7155.6758.0759.0065.2972.73
10.515.1911.356.039.455.075.6315.70-1.1611.2910.0312.1611.5912.6511.65
20.8210.9123.7511.5417.109.1111.6611.37-0.858.467.879.9412.4113.9212.85
3.361.643.742.133.572.002.012.69-0.192.252.342.852.913.403.25
4.352.164.812.694.512.492.583.95-0.273.013.293.844.024.484.37
22.4824.0824.9623.7225.8328.0229.9117.5918.23------
5.114.263.653.613.514.693.324.294.172.753.973.663.592.402.44
3.442.501.061.712.243.64-0.541.20-2.33-8.60-5.82-3.310.25-0.62-1.35

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.770.680.830.670.640.590.600.600.580.680.490.550.600.590.530.550.610.580.550.590.630.640.580.590.560.620.630.640.710.650.650.520.500.650.700.810.820.810.860.760.730.690.650.650.840.890.930.950.840.960.881.161.201.231.121.060.980.960.950.820.870.81
0.550.550.540.500.530.520.540.520.520.520.520.500.490.490.490.480.480.470.460.460.450.450.450.460.470.480.480.490.470.470.620.640.620.630.660.650.630.630.610.590.570.560.550.530.530.570.580.570.580.610.610.620.630.630.640.640.620.620.620.610.620.62
1.311.301.261.131.241.241.281.221.221.191.191.101.051.031.040.990.960.950.940.920.900.890.880.930.960.980.991.010.970.961.892.051.931.852.101.911.731.751.711.601.521.501.391.301.271.431.491.451.501.621.681.691.761.751.851.861.761.761.781.701.711.80
51.6454.7052.3150.9252.8748.4143.9942.7134.6435.4440.9434.8838.6341.3550.1450.3260.9433.2639.5036.8936.3639.5536.3738.1537.6534.6131.2642.5437.7732.1326.3328.7329.6337.8628.7723.4129.3418.7627.7321.2919.3218.3112.8920.1021.3220.1622.6621.3422.1328.9057.194.473.6523.0525.2325.1827.2222.3628.4629.8326.1823.68
20.0524.5620.0418.2222.5322.0518.5615.3611.5016.0316.4912.1116.5920.9122.5823.0026.3712.5916.9114.6017.2320.3713.2916.5414.7115.2412.4316.1515.1512.187.939.1410.0019.038.893.8712.943.041.330.8225.108.62-4.626.685.435.804.943.855.47-26.2314.111.238.8913.5311.9711.7310.7111.527.5412.2716.4215.43
20.0524.5620.0418.2222.5322.0518.5615.3611.5016.0316.4912.1116.5920.9122.5823.0026.3712.5916.9114.6017.2320.3713.2916.5414.7115.2412.4316.1515.1512.187.939.1410.0019.038.893.8712.943.041.330.8225.108.62-4.626.685.435.804.943.855.47-26.2314.111.238.8913.5311.9711.7310.7111.527.5412.2716.4215.43
--------------------------------------------------------------
24.1717.6819.807.6324.1619.68-4.8814.705.6017.5519.498.8316.3620.4924.1314.6529.76-15.9210.9711.3417.0920.2811.804.9411.453.43-25.8914.5413.8010.259.41-5.774.5620.061.80-7.317.59-2.727.06-0.829.305.32-5.977.382.143.094.095.701.067.9913.48-0.347.9510.7010.283.645.8211.3011.7915.1816.2616.15
16.3012.8615.325.4017.7114.35-8.7411.053.4112.7614.765.9512.7315.5917.8110.8720.70-11.906.108.1813.0914.719.51-0.799.973.501.728.298.275.724.31-1.213.7913.795.07-7.327.50-3.921.81-0.177.544.23-2.595.221.083.602.543.800.595.776.310.125.248.387.924.513.998.659.4811.6213.7614.80
0.060.060.060.060.060.070.070.060.080.090.070.070.070.080.060.060.050.070.080.070.080.080.070.070.060.080.080.060.070.070.110.100.100.110.100.100.110.100.110.120.190.170.130.170.150.160.150.130.130.120.160.130.160.160.140.120.120.140.120.100.120.15
4.033.623.623.084.064.753.192.835.598.044.394.994.548.383.323.313.2311.475.785.806.577.425.365.155.569.545.943.115.546.285.554.755.587.875.474.275.076.155.554.536.188.176.205.816.839.177.205.196.249.425.144.485.826.613.843.254.228.143.222.303.425.90
2.342.212.502.372.682.491.431.561.701.751.781.751.761.951.922.091.451.821.811.962.091.951.711.981.752.011.861.761.931.671.861.941.751.971.571.651.621.481.361.682.471.671.552.001.761.761.771.581.581.321.711.692.122.031.591.781.641.841.371.721.761.58
38.5240.8136.0538.0433.5836.1963.0357.5853.0751.4450.5051.4051.1646.2146.8143.1162.2149.5449.6545.9543.0446.0552.6445.5651.5744.6948.4151.1046.7253.8348.3646.4851.3945.7857.4254.6255.4360.7366.1353.6736.4153.8958.2045.0851.1151.0950.8956.8556.8967.9852.7253.1842.3644.2456.4750.6354.7848.9465.4952.3151.2157.00
3.152.592.711.013.503.21-2.072.281.053.593.521.432.663.463.451.822.86-2.111.501.632.813.061.930.352.190.850.161.762.011.526.04-1.732.438.893.16-4.144.31-2.140.97-0.106.382.92-1.533.620.662.551.632.040.322.643.910.063.104.854.222.041.714.404.114.076.038.51
6.375.495.361.937.056.50-4.344.932.227.387.362.724.966.416.593.405.32-3.952.722.884.915.363.460.684.541.770.343.464.103.114.37-1.281.826.642.30-3.073.20-1.620.73-0.074.862.27-1.202.840.522.041.341.710.292.484.190.063.385.304.642.251.884.844.544.496.739.53
0.990.820.870.351.151.05-0.650.760.351.211.160.490.951.251.220.681.08-0.800.570.641.111.220.760.130.800.310.060.620.730.551.03-0.280.421.630.51-0.750.83-0.410.19-0.021.430.64-0.360.880.170.590.380.490.080.670.980.020.861.361.130.560.481.251.151.171.642.22
1.291.051.120.451.471.36-0.860.980.451.531.490.631.191.571.530.841.33-1.000.720.791.381.500.950.171.040.400.070.800.950.731.52-0.430.642.310.72-1.011.12-0.560.26-0.031.920.92-0.501.240.220.800.520.670.110.891.360.021.121.761.490.730.641.641.541.562.273.21
23.5823.4722.4824.0023.5523.7424.0825.5124.9625.0524.9625.3526.0825.7223.7225.3724.9226.6225.8327.2026.9027.4728.0228.9730.8331.3329.9131.3731.1632.0517.5916.5017.4617.00----------------------------
2.041.105.113.782.681.414.262.882.111.143.652.731.931.003.612.801.871.043.512.781.730.814.693.582.981.503.322.551.691.074.293.462.711.544.163.362.711.432.722.051.260.363.932.992.070.983.623.012.060.843.583.032.111.282.381.891.510.842.402.251.860.98
1.170.683.442.581.911.002.501.671.340.741.060.630.580.241.711.491.110.612.241.300.700.213.642.391.510.73-0.54-0.200.100.211.200.170.230.18-2.33-1.25-0.67-0.08-8.51-5.89-4.29-2.25-5.76-3.18-1.59-0.82-3.26-1.48-0.54-0.300.250.990.990.74-0.62-0.210.380.35-1.33-0.480.370.08