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Hydro One Inc. Operating Cash Flow

Hydro One Inc. Operating Cash Flow

Hydro One Inc. reported Operating Cash Flow of CAD 2.67 billion for the 12-month period ending 2025-12-31, per its 40-F filed 2026-02-13.

Financial Statements › Cash Flow › Operating Activities

us-gaap:NetCashProvidedByUsedInOperatingActivities · last filed 2026-02-13

Period endNet Cash Provided by (Used in) Operating Activities 12 monthNet Cash Provided by (Used in) Operating Activities 12 month as first filed
2025-12-312.67B CAD
40-F · filed 2026-02-13
2024-12-312.59B CAD
40-F · filed 2026-02-13
2023-12-312.35B CAD
40-F · filed 2025-02-20
2022-12-312.19B CAD
40-F · filed 2024-02-13
2021-12-312.11B CAD
40-F · filed 2023-02-14
2020-12-312.00B CAD
40-F · filed 2022-02-25
2019-12-311.72B CAD
40-F · filed 2021-02-25
2018-12-311.60B CAD
40-F · filed 2020-02-12
2017-12-311.69B CAD
40-F · filed 2019-03-28
2016-12-311.67B CAD
40-F · filed 2018-03-29
2015-12-31-1.25B CAD
40-F · filed 2017-03-27
-1.26B CAD
40-F · filed 2016-03-22
2014-12-311.26B CAD
40-F · filed 2016-03-22
2013-12-311.40B CAD
40-F · filed 2015-02-27
2012-12-311.29B CAD
40-F · filed 2014-03-31