TC PipeLines, LP
CIK 0001075607
Revenue (TTM)
—
FY Feb 2021
Net Income (TTM)
$256M
+1.4% YoY
FY Feb 2021
EPS Diluted (TTM)
—
FY Feb 2021
Gross Margin
—
FY Feb 2021
Operating Margin
—
FY Feb 2021
Net Margin
—
FY Feb 2021
Free Cash Flow (TTM)
$441M
FY Feb 2021
Cash
$200M
FY Feb 2021
Total Debt
$1.94B
FY Feb 2021
Shares Outstanding
71.31M sh
FY Feb 2021
Revenue & Net Income
Cash Flow
Revenue Growth (YoY)
No data available for this metric.