Capital Power Corporation (CPXWF) Balance Sheet Analysis - Assets, Liabilities & Financial Position - Stocknear

Capital Power Corporation

OTC: CPXWF · Real-Time Price · USD
49.14
0.82 (1.70%)
At close: Oct 03, 2025, 3:26 PM
49.56
0.85%
After-hours: Oct 03, 2025, 03:13 PM EDT

Capital Power Balance Sheet Statement

Financials in CAD. Fiscal year is January - December.
Fiscal Year Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Jun 30, 2025 Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Cash & Equivalents
308M 689M 792M 153M 332M 152M 1.42B 399M 103M 245M 290M 211M 184M 329M 370M 285M 138M 235M
Short-Term Investments
n/a n/a n/a n/a 40M 52M 40M 81M 22M 14M 17M 10M 46M 25M 9M 9M 5M 27M
Long-Term Investments
1.05B 1.11B 1.1B 787M 1.56B 1.41B 948M 466M 443M 438M 437M 433M 157M 152M 145M 147M 147M 150M
Other Long-Term Assets
837M 980M 937M 849M 128M 125M 110M 617M 658M 690M 688M 727M 817M 715M 618M 652M 653M 620M
Receivables
734M 617M 568M 647M 579M 611M 707M 545M 637M 614M 910M 757M 573M 419M 432M 403M 419M 521M
Inventory
204M 207M 235M 356M 288M 288M 309M 345M 314M 320M 242M 209M 210M 209M 217M 211M 223M 256M
Other Current Assets
256M 292M 317M 230M 216M 152M 249M 128M 142M 140M 239M 162M 136M 118M 161M 86M 75M 77M
Total Current Assets
1.5B 1.8B 1.95B 1.39B 1.46B 1.25B 2.63B 1.5B 1.22B 1.33B 1.69B 1.35B 1.15B 1.1B 1.19B 994M 860M 1.12B
Property-Plant & Equipment
11.1B 8.21B 8.18B 8.09B 7.92B 7.66B 6.67B 6.47B 6.42B 6.45B 6.49B 6.45B 6.26B 6.28B 6.32B 6.29B 6.15B 6.11B
Goodwill & Intangibles
650M 726M 744M 848M 872M 950M 775M 751M 744M 799M 817M 779M 759M 790M 784M 771M 777M 778M
Total Long-Term Assets
13.67B 11.04B 10.98B 10.6B 10.5B 10.16B 8.52B 8.32B 8.28B 8.39B 8.45B 8.41B 8.01B 7.95B 7.89B 7.88B 7.75B 7.68B
Total Assets
15.17B 12.85B 12.93B 11.98B 11.96B 11.42B 11.16B 9.82B 9.5B 9.73B 10.13B 9.76B 9.15B 9.05B 9.07B 8.88B 8.61B 8.79B
Account Payables
626M 694M 163M 779M 705M 840M 183M 796M 803M 989M 117M 1.02B 789M 771M 69M 592M 478M 588M
Deferred Revenue
n/a n/a 4M n/a n/a n/a 71M 47M 42M n/a 158M 147M 149M 148M 153M 144M 137M 136M
Short-Term Debt
558M 467M 157M 146M 599M 588M 592M 588M 134M 132M 136M 135M 136M 139M 157M 152M 152M 431M
Other Current Liabilities
438M 352M 441M 394M 350M 240M 804M 327M 565M 560M 893M 621M 505M 431M 513M 408M 331M 280M
Total Current Liabilities
1.62B 1.51B 1.35B 1.32B 1.66B 1.67B 2.05B 1.76B 1.55B 1.69B 2.21B 1.78B 1.44B 1.35B 1.21B 1.16B 967M 1.3B
Long-Term Debt
6.38B 4.47B 4.82B 4.84B 4.41B 4.08B 4.14B 3.07B 3.39B 3.36B 3.61B 3.31B 2.95B 2.98B 3.27B 2.89B 2.92B 2.97B
Other Long-Term Liabilities
1.27B 1.18B 1.16B 1.1B 1.86B 1.7B 1.65B 890M 817M 1.72B 1.71B 1.7B 1.63B 1.63B 1.6B 1.52B 1.4B 1.38B
Total Long-Term Liabilities
8.68B 6.7B 7.01B 6.9B 6.42B 5.93B 5.92B 4.85B 5.17B 5.22B 5.46B 5.15B 4.72B 4.75B 5.01B 4.54B 4.45B 4.49B
Total Liabilities
10.3B 8.22B 8.36B 8.22B 8.09B 7.59B 7.97B 6.61B 6.72B 6.91B 7.67B 6.93B 6.16B 6.09B 6.21B 5.7B 5.42B 5.79B
Total Debt
7.1B 5.07B 5.11B 5.13B 5.15B 4.8B 4.86B 3.79B 3.66B 3.62B 3.87B 3.57B 3.2B 3.22B 3.5B 3.1B 3.12B 3.46B
Book Value
4.87B 4.63B 4.57B 3.77B 3.87B 3.82B 3.19B 3.21B 2.78B 2.81B 2.46B 2.82B 3B 2.96B 2.86B 3.18B 3.19B 3B
Book Value Per Share
32.21 33.29 35.09 28.91 29.90 30.91 27.10 27.46 23.75 24.08 21.04 24.21 25.74 25.47 24.65 27.55 29.08 28.12
Common Stock
4.98B 4.32B 3.85B 3.83B 3.95B 3.93B 2.92B 3.5B 3.5B 3.5B 2.9B 3.5B 3.64B 3.63B 2.88B 3.81B 3.79B 3.49B
Retained Earnings
-261M -21M -74M -216M -302M -288M -404M -420M -613M -624M -835M -661M -617M -623M -671M -529M -493M -440M
Comprehensive Income
156M 344M 349M 162M 226M 187M 70M 132M -110M -63M -209M -20M -36M -66M -119M -123M -130M -76M
Shareholders Equity
4.88B 4.64B 4.58B 3.77B 3.88B 3.83B 3.19B 3.21B 2.78B 2.81B 2.45B 2.82B 2.98B 2.94B 2.84B 3.16B 3.17B 2.98B
Total Investments
1.05B 1.11B 1.1B 787M 1.56B 1.41B 948M 466M 443M 438M 437M 433M 157M 152M 145M 147M 147M 150M