TipRanks
Canadian Natural (DE:CRC)
FRANKFURT:CRC
Germany Market

Canadian Natural (CRC) Cash flow

4 Followers

Canadian Natural Cash Flow

DE:CRC's free cash flow for Q2 2026 was C$4.42B. For the 2026 fiscal year, DE:CRC's free cash flow was decreased by C$427.00M and operating cash flow was C$6.82B. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
C$ 15.11BC$ 13.39BC$ 12.35BC$ 19.39BC$ 14.48B
Investing Cash Flow
C$ -6.69BC$ -14.10BC$ -4.86BC$ -4.99BC$ -3.70B
Financing Cash Flow
C$ -7.88BC$ -37.00MC$ -7.54BC$ -14.23BC$ -10.21B
End Cash Position
C$ 673.00MC$ 131.00MC$ 877.00MC$ 920.00MC$ 744.00M
Free Cash Flow
C$ 8.43BC$ 8.00BC$ 7.44BC$ 14.29BC$ 9.99B
Currency in CAD

Canadian Natural Cash Flow