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Canadian Natural (CH:CRC)
:CRC
Switzerland Market

Canadian Natural (CRC) Financial Statements

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Canadian Natural Financial Overview

Canadian Natural's market cap is currently CHF82.01B. The company's EPS TTM is CHF5.66; its P/E ratio is 12.28; Canadian Natural is scheduled to report earnings on August 6, 2026, and the estimated EPS forecast is CHF0.84. See an overview of income statement, balance sheet, and cash flow financials.
Dec 25Dec 24Dec 23Dec 22Dec 21
Income Statement
Total RevenueC$ 38.76BC$ 41.51BC$ 40.84BC$ 49.53BC$ 32.85B
Gross ProfitC$ 9.02BC$ 10.90BC$ 11.77BC$ 16.26BC$ 10.58B
Operating IncomeC$ 8.23BC$ 9.73BC$ 10.46BC$ 14.76BC$ 9.51B
EBITDAC$ 23.84BC$ 15.41BC$ 17.27BC$ 21.73BC$ 16.38B
Net IncomeC$ 10.82BC$ 6.11BC$ 8.23BC$ 10.94BC$ 7.66B
Balance Sheet
Cash & Short-Term InvestmentsC$ 673.00MC$ 131.00MC$ 1.40BC$ 1.41BC$ 1.05B
Total AssetsC$ 91.83BC$ 85.36BC$ 75.95BC$ 76.14BC$ 76.67B
Total DebtC$ 19.72BC$ 20.28BC$ 12.35BC$ 12.98BC$ 16.28B
Net DebtC$ 19.05BC$ 20.15BC$ 11.48BC$ 12.06BC$ 15.53B
Total LiabilitiesC$ 47.46BC$ 45.89BC$ 36.12BC$ 37.97BC$ 39.72B
Stockholders' EquityC$ 44.37BC$ 39.47BC$ 39.83BC$ 38.17BC$ 36.95B
Cash Flow
Free Cash FlowC$ 8.43BC$ 8.00BC$ 7.44BC$ 14.29BC$ 9.99B
Operating Cash FlowC$ 15.11BC$ 13.39BC$ 12.35BC$ 19.39BC$ 14.48B
Investing Cash FlowC$ -6.69BC$ -14.10BC$ -4.86BC$ -4.99BC$ -3.70B
Financing Cash FlowC$ -7.88BC$ -37.00MC$ -7.54BC$ -14.23BC$ -10.21B
Currency in CAD

Canadian Natural Earnings and Revenue History

Canadian Natural Debt to Assets

Canadian Natural Cash Flow

Canadian Natural Forecast EPS vs Actual EPS