Pembina Pipeline Corporation Logo

Pembina Pipeline Corporation (PPL)

TSX

Currency in CAD
67.50
+0.42 (+0.63%)

Closed

Aug 24, 2026

Day's Range

66.43
67.75

52 wk Range

50.15
72.72

Financial Statements - PPL - Pembina Pipeline Corporation

Revenue

7.77B 5.3%

Net Income

1.69B 9.6%Net Margin 21.8%

EBITDA

3.69B 2.9%

Free Cash Flow

2.51B 11.4%

Income Statement

Period Ending2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-31
Sales7.77B7.38B9.12B11.61B8.62B5.95B
Cost of Goods4.58B4.06B6.28B8.48B5.98B3.94B
Gross Profit3.19B3.31B2.84B3.12B2.64B2B
ExpandOperating Expense
------
Operating Income2.69B2.89B2.42B2.59B2.58B1.78B
ExpandNon-Operating Interest
------
Other Income Expense112M-628M235M1.08B-484M-1.78B
Pre Tax Income2.20B1.72B2.18B3.21B1.66B-416M
Income Tax513M-154M413M248M423M-100M
Net Income1.69B1.87B1.77B2.97B1.24B-316M
EPS Basic2.67335.142-0.86
EPS Diluted2.6632.995.121.99-0.86
Basic Shares Outstanding634.45M573M550M553M550M550M
Diluted Shares Outstanding634.45M573M550M553M550M550M
Ebit2.81B2.31B2.65B3.68B2.10B0
Ebitda3.69B3.80B3.08B3.27B3.31B2.48B
Net Income Continuous Operations1.69B1.87B1.77B2.97B1.24B-316M
Minority Interests0-10M----
Preferred Stock Dividends------

The information on this page is provided for general informational purposes only and is not investment advice.

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