Suncor Energy Inc. logo SU - Suncor Energy Inc.

Price: -- -- | CONSENSUS: Buy DETAILS
STRONG
BUY
0
BUY 23
HOLD 8
SELL 0
STRONG
SELL
0
| PRICE TARGET: $62.00 DETAILS
HIGH: $70.00
LOW: $54.00
MEDIAN: $62.00
CONSENSUS: $62.00
DOWNSIDE: 7.93%
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Revenue
Revenue 48,908 50,689 49,092 58,336 39,132 24,662 38,344 38,542 31,954 26,807 29,208 39,862 39,593 38,107 38,339 32,604 25,998 29,499 18,535 16,533 11,127 8,705.3 6,610.8 5,031.5 4,199.3 3,384.8 2,382.8 2,068.1 2,148.0 2,099.9 1,898.0 1,635.0 1,546
Cost of Revenue 20,014 20,957 19,990 22,446 15,270 10,688 14,011 15,439 12,157 10,887 12,632 18,574 18,205 17,745 22,559 15,534 16,315 20,041 10,157 8,172 5,660 3,453.3 1,686.2 1,181.9 1,595.0 1,058.8 658.3 1,088.2 559.0 716.0 764.0 658.0 685
Gross Profit 28,894 29,732 29,102 35,890 23,862 13,974 24,333 23,103 19,797 15,920 16,576 21,288 21,388 20,362 15,780 17,070 9,683 9,458 8,378 8,361 5,467 5,252.0 4,924.6 3,849.5 2,604.3 2,326.0 1,724.5 979.9 1,589.0 1,383.9 1,134.0 977.0 861
Operating Expenses
R&D Expenses 0 0 0 0 0 0 0 0 0 0 0 0 0 0 163 77 51 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
SG&A Expenses 13,404 13,175 13,193 12,904 11,304 10,034 11,559 10,751 9,350 9,469 9,137 9,963 9,852 9,345 2,723 7,984 6,430 4,186 3,340 3,066 2,437 2,561.8 1,959.3 1,547.1 1,174.8 917.8 774.0 682.0 704.9 424.0 280.1 242.0 233
Other Expenses 0 0 0 0 0 0 0 0 0 0 0 0 0 0 13,057 9,086 3,253 5,272 5,038 5,295 3,030 2,690.2 2,965.3 2,302.5 1,429.5 1,408.2 950.5 297.8 884.1 959.8 854.0 735.0 628
Operating Expenses 13,404 13,175 13,193 12,904 11,304 10,034 11,559 10,751 9,350 9,469 9,137 9,963 14,791 15,416 15,780 17,070 9,683 9,458 8,378 8,361 5,467 5,252.0 4,924.6 3,849.5 2,604.3 2,326.0 1,724.5 979.9 1,589.0 1,383.9 1,134.0 977.0 861
Operating Income
Operating Income 15,490 16,557 15,909 22,986 12,558 3,940 12,774 12,352 10,447 6,451 7,439 11,325 7,500 7,071 7,293 5,065 1,048 4,069 3,383 3,867 1,847 1,636.7 1,876.9 1,333.0 702.0 682.4 298.0 390.1 338.1 444.8 344.0 268.1 192
Interest Expense 742.4 694 775.1 906 961 1,036 989 853 279 474 475 363 374 132 102 403 437 0 0 39 0 0 0 0 0 0 0 0 0 0 0 0 0
Interest Income 191.8 0 94.0 149 64 94 89 34 162 77 62 90 85 91 0 0 444 28 241 13 17 0 0 0 0 0 0 0 0 0 0 0 0
Profitability
EBITDA 16,182.4 16,349 15,858 22,433 11,998 2,414 9,211 12,607 10,373 6,473 7,808 11,767 12,122 11,204 11,123 9,982 3,716 4,181 4,247 4,531 2,415 2,356.6 2,499.0 1,927.9 1,061.8 1,046.8 616.3 654.8 572.1 648.9 534.0 447.0 366
EBIT 8,690.4 9,247 9,502 17,154 6,019 (5,639) 2,064 6,603 4,525 87 240 5,869 7,500 7,071 7,171 6,179 1,856 3,132 3,383 3,836 1,847 1,636.7 1,876.9 1,333.0 702.0 682.4 298.0 390.1 338.1 444.8 344.0 268.1 192
Income Before Tax 7,948 8,187 10,589 12,316 5,570 (6,097) 2,533 4,983 5,916 86 (2,027) 4,590 6,376 4,984 7,069 5,776 1,419 3,132 3,549 3,797 1,852 1,601.9 1,804.7 1,126.8 512.6 619.4 311.1 295.7 340.0 320.1 246.0 186.0 115
Income Tax Expense 2,030 2,171 2,294 3,239 1,451 1,778 366 1,690 1,458 359 32 1,891 2,465 2,244 2,765 1,947 213 995 566 828 694 525.6 717.5 377.7 125.8 243.0 124.4 108.4 116.9 133.1 95.0 64.9 40
Net Income 5,918 6,016 8,295 9,077 4,119 (4,319) 2,899 3,293 4,458 434 (1,995) 2,699 3,911 2,740 4,304 3,829 1,146 2,137 2,983 2,969 1,158 1,076.3 1,087.2 749.1 388.4 376.4 186.6 187.3 223.0 187.1 150.9 121.1 75
Per Share Data
EPS (Basic) 4.85 4.72 6.34 6.54 2.77 -2.83 1.86 2.03 2.68 0.27 -1.38 1.84 2.61 1.80 2.74 2.29 0.96 2.29 3.23 1.62 0.68 0.61 1.21 0.82 0.20 0.40 0.09 0.10 0.03 0.01 0.01 0.01 0.01
EPS (Diluted) 4.85 4.72 6.33 6.53 2.77 -2.83 1.86 2.02 2.68 0.27 -1.38 1.84 2.60 1.79 2.67 2.27 0.95 2.26 3.17 1.58 0.66 0.60 1.13 0.81 0.20 0.39 0.09 0.10 0.03 0.01 0.01 0.01 0.01
Shares Outstanding 1,219 1,274 1,308 1,387 1,488 1,526 1,559 1,623 1,661 1,610 1,446 1,462 1,501 1,545 1,571 1,562 1,193.8 932 922 1,838 1,830 1,816 876.2 896 1,780 888.4 884.1 881.7 879.3 876.6 874.9 872.4 871.2
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2009 2008 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Current Assets
Cash & Cash Equivalents 3,647.0 3,484 1,729 1,980 2,205 1,885 1,960 2,221 2,672 3,016 505 660 87.6 387.7 15.7 1.6 21.0 4.3 26.0 13.0 1.0 2.0 36.0 0
Short-Term Investments 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Net Receivables 5,453.6 5,763 6,715 6,312 4,662 3,884 4,185 3,320 3,437 3,558 4,523 1,271 435.6 505.0 402.9 305.6 406.4 290.8 189.9 267.0 292.0 246.0 217.0 201.0
Inventory 5,116.8 5,041 5,365 5,058 4,110 3,617 3,761 3,159 3,468 3,240 2,971 909 423.6 371.0 266.0 257.9 192.0 160.6 175.1 159.0 147.0 162.9 164.0 154.0
Other Current Assets 0 0 0 1,186 0 0 0 0 0 1,205 332 21 39.6 15.5 37.8 57.3 45.0 1.4 9.9 0 (0.1) 0 0 0
Total Current Assets 14,217.4 14,288 13,809 14,536 10,977 9,386 9,906 8,700 9,577 11,019 8,331 3,237 1,195.1 1,292.0 722.4 622.4 664.4 457.2 400.9 439.0 439.9 411.0 417.0 355.0
Non-Current Assets
Property, Plant & Equipment 68,372.2 70,254 67,650 64,649 67,772 70,416 75,068 76,564 75,545 73,297 57,485 28,316 10,289.2 8,724.7 7,640.9 7,141.0 5,883.3 4,528.4 3,504.0 2,817.0 2,209.0 1,855.1 1,560.0 1,412.0
Goodwill 3,452.2 2,892 2,892 2,892 2,892 2,892 2,892 2,892 2,892 2,900 3,201 0 0 0 0 0 0 0 0 0 0 0 0 0
Intangible Assets 0 611 636 694 631 436 166 169 169 175 233 0 0 0 0 14.3 0 13.0 0 0 0 0 0 0
Long-Term Investments 0 413 490 758 391 323 289 237 224 191 148 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Current Assets 3,716.0 1,146 2,978 1,008 916 954 905 889 987 1,057 388 975 319.2 286.0 184.1 184.7 284.9 178.0 199.1 201.0 175.1 174.0 224.0 256.0
Total Non-Current Assets 75,622.3 75,496 74,730 70,082 72,762 75,230 79,529 80,879 79,917 77,683 61,415 29,291 10,608.4 9,134.4 7,960.3 7,472.1 6,168.3 4,719.3 3,703.1 3,018.0 2,384.1 2,029.0 1,784.0 1,668.0
Total Assets 89,839.7 89,784 88,539 84,618 83,739 84,616 89,435 89,579 89,494 88,702 69,746 32,528 11,803.5 10,426.4 8,682.7 8,094.6 6,832.6 5,176.5 4,104.0 3,457.0 2,824.0 2,440.0 2,201.0 2,023.0
Current Liabilities
Account Payables 7,516.9 7,674 7,731 8,167 6,503 4,684 6,555 5,647 6,203 5,588 6,307 3,326 907.1 970.0 716.1 671.8 424.4 276.3 125.4 179.0 223.0 198.9 152.1 240
Short-Term Debt 1,609.7 997 494 2,807 1,515 4,979 2,155 3,422 2,136 1,273 27 11 30.0 30.9 0 30.2 64.5 33.3 17.0 42.0 30.0 41.0 36.0 30.1
Deferred Revenue 0 0 0 0 0 0 1,207 535 425 1,005 1,274 178 0 14.2 0 28.7 0 0 0 0 0 0 0 0
Other Current Liabilities 1,055.1 1,445 983 1,094 779 406 389 381 378 978 (207) 14 40.8 74.7 80.3 43.0 347.9 400.8 227.6 291.9 255.0 241.1 231.9 69.9
Total Current Liabilities 10,201.7 10,747 9,597 12,869 10,399 10,549 10,537 10,309 9,557 8,117 7,641 3,529 1,408.7 1,075.6 796.3 773.6 836.8 710.4 370.0 512.9 508.0 481.0 420.0 340.0
Non-Current Liabilities
Long-Term Debt 12,882.5 9,348 11,485 10,213 14,416 14,248 13,330 13,138 12,607 15,023 13,855 7,875 2,217.4 2,447.5 2,686.5 3,113.7 2,192.6 1,306.4 1,298.0 767.0 395.0 253.1 190.1 191.0
Deferred Tax Liabilities 8,155.3 7,997 8,000 8,445 9,241 8,967 10,176 12,045 11,533 11,243 8,870 4,615 2,531.8 2,183.4 1,515.6 1,179.6 1,079.8 839.1 756.0 610.0 491.0 381.0 343.9 314.0
Other Non-Current Liabilities 9,637.1 13,425 12,687 11,007 10,500 12,424 10,689 8,814 9,117 8,554 5,175 1,986 748.7 293.7 226.6 249.9 250.4 179.4 161.0 166.1 183.1 198.0 212.0 208.1
Total Non-Current Liabilities 34,550.8 34,523 35,663 32,382 36,726 38,310 36,856 35,265 34,554 35,955 27,994 14,476 5,498.0 4,924.6 4,428.7 4,543.1 3,522.8 2,324.9 2,215.0 1,543.1 1,069.1 832.0 746.0 713.1
Total Liabilities 44,752.5 45,270 45,260 45,251 47,125 48,859 47,393 45,574 44,111 44,072 35,635 18,005 6,906.6 6,000.3 5,225.1 5,316.8 4,359.6 3,035.3 2,585.0 2,056.0 1,577.1 1,313.1 1,165.9 1,053.1
Stockholders' Equity
Common Stock 20,385.4 21,121 21,661 22,257 23,650 25,144 25,167 25,910 26,606 26,942 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Retained Earnings 23,202.1 21,672 20,001 15,565 11,538 9,145 15,410 16,479 17,401 16,093 13,765 13,025 4,269.3 3,363.4 2,357.6 1,708.1 1,421.7 1,103.9 1,000.9 888.1 738.9 622.0 533.0 469.9
Accumulated Other Comprehensive Income 998.2 1,201 1,048 974 814 877 899 1,076 809 1,007 (233) 0 (22.8) (19.3) 0 (2,031.2) (1,819.1) (1,935.8) (1,820.0) (1,653.0) (1,501.0) (1,435.0) (1,420.0) (1,358.0)
Total Stockholders' Equity 45,087.2 44,514 43,279 39,367 36,614 35,757 42,042 44,005 45,383 44,630 34,111 14,523 4,896.8 4,426.1 3,457.7 2,777.8 2,473.0 2,141.2 1,519.0 1,401.0 1,247.0 1,126.9 1,035.1 969.9
Total Liabilities & Equity 89,839.7 89,784 88,539 84,618 83,739 84,616 89,435 89,579 89,494 88,702 69,746 32,528 11,803.5 10,426.4 8,682.7 8,094.6 6,832.6 5,176.5 4,104.0 3,457.0 2,824.0 2,440.0 2,201.0 2,023.0
Debt Metrics
Total Debt 18,368.0 14,689 15,805 16,032 18,781 22,135 17,970 17,350 15,579 17,430 13,882 7,886 2,247.4 2,478.4 2,686.5 3,143.9 2,257.0 1,339.7 1,315.0 809.0 425.0 294.1 226.1 221.1
Net Debt 14,721.0 11,205 14,076 14,052 16,576 20,250 16,010 15,129 12,907 14,414 13,377 7,226 2,159.8 2,090.7 2,670.8 3,142.3 2,236.1 1,335.4 1,289.0 796.0 424.0 292.1 190.1 221.1
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Operating Activities
Net Income 5,913.2 6,016 8,295 9,077 4,119 (4,319) 2,899 3,293 4,458 445 1,245.5 1,100.3 1,110.4 761.7 388.4 376.4 199.7 187.9 223.0 187.1 150.9 121.1 75.1
Depreciation & Amortization 7,485.9 6,954 6,435 8,786 5,850 9,526 10,572 5,738 5,601 6,117 719.9 717.5 601.6 585.5 359.8 364.4 318.3 263.9 234.0 204.1 189.9 179.0 173.9
Stock-Based Compensation 0 (57) 108 328 205 (238) 44 (117) 31 142 0 0 0 0 0 0 0 0 0 0 0 0 0
Change in Working Capital (2.0) 2,114 (981) (2,421) 1,507 (1,201) (397) 408 (173) (308) (54.7) 180.0 136.5 15.7 (19.1) (51.0) 247.4 (66.9) 6.0 8.1 16.9 48.1 0
Other Non-Cash Items (716.4) 1,227 (2,073) 900 27 26 (779) 818 (1,200) (204) 510.5 204.0 (329.8) (215.6) 0 217.5 72.3 0 6.0 74.8 41.2 30.9 (12.0)
Operating Cash Flow 12,770.6 15,960 12,344 15,680 11,764 2,675 10,421 10,580 8,966 5,680 2,421.2 2,201.8 2,218.2 1,455.8 811.8 907.3 837.7 513.0 581.0 474.0 399.0 379.0 237.0
Investing Activities
Capital Expenditure (5,851.2) (6,483) (5,828) (5,120) (4,555) (3,926) (5,558) (5,406) (6,551) (6,582) 0 (1,845.5) (122.4) (876.6) (1,677.8) (1,997.6) (1,349.8) (936.1) (847.0) 0 0 0 0
Acquisitions 65.9 51 (2,394) 315 335 72 274 (1,230) (308) (905) 0 0 0 0 0 0 0 0 0 0 0 0 0
Purchases of Investments (29.0) (52) 0 (36) (28) (113) (213) (170) (38) (25) 0 0 0 0 0 0 0 0 0 0 0 0 0
Sales/Maturities of Investments 0 0 0 (279) (335) 41 (61) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Investing Activities (202.8) 12 1,819 331 606 (598) 470 109 1,840 (20) (3,186.4) 21.6 (1,579.3) 15.7 (1.6) 389.9 59.3 (0.9) (37.0) (539.0) (431.0) (292.0) (204.0)
Investing Cash Flow (6,017.1) (6,472) (6,511) (4,789) (3,977) (4,524) (5,088) (6,697) (5,019) (7,507) (3,186.4) (1,823.9) (1,701.7) (860.9) (1,679.4) (1,607.7) (1,290.5) (937.0) (884.1) (539.0) (431.0) (292.0) (204.0)
Financing Activities
Net Debt Issuance (4.0) (2,540) (1,179) (3,984) (3,609) 3,744 (732) 680 (1,397) (169) 827 (635.9) (34.8) (480.0) 951.9 823.3 30.4 507.7 384.0 131.0 57.0 5.0 24
Stock Repurchased (3,126.5) (2,908) (2,233) (5,135) (2,304) (307) (2,274) (3,053) (1,413) 0 0 (493.2) 0 0 0 0 0 0 0 0 0 0 0
Dividends Paid (2,806.7) (2,803) (2,749) (2,596) (1,550) (1,670) (2,614) (2,333) (2,124) (1,877) (102.3) (105.6) (126.2) (121.2) (119.4) (118.5) (111.4) (75.1) (74.1) (70.0) (62.0) (57.9) (57.1)
Other Financing Activities (706.4) 369 (16) 487 (1) 19 (7) 280 711 133 50.3 34.8 (45.1) 1.6 1.6 1.5 (1.4) (1.5) 0 0 0 (0.1) 0.0
Financing Cash Flow (6,462.7) (7,882) (5,990) (11,228) (7,464) 1,786 (5,537) (4,426) (4,223) 869 844.3 (675.5) (140.4) (580.7) 848.5 715.4 431.1 437.0 314.9 64.0 (2.0) (51.1) (33.0)
Cash Position
Net Change in Cash 325.1 1,755 (251) (225) 320 (75) (261) (451) (344) (1,033) 76.8 (300.0) 372.3 14.2 (19.1) 16.5 (21.7) 437.0 314.9 64.0 (2.0) (51.1) 0
Cash at Beginning 3,322.0 1,729 1,980 2,205 1,885 1,960 2,221 2,672 3,016 4,049 88.4 387.6 15.5 1.6 20.7 4.5 26.0 13.0 1.0 2.1 36.0 0 0
Cash at End 3,647.0 3,484 1,729 1,980 2,205 1,885 1,960 2,221 2,672 3,016 165.1 87.6 387.7 15.7 1.6 21.0 4.3 450 315.9 66.1 34.0 (51.1) 0
Free Cash Flow 6,919.4 9,477 6,516 10,560 7,209 (1,251) 4,863 5,174 2,415 (902) 2,421.2 356.4 2,095.8 579.2 (866.0) (1,090.3) (512.2) (423.1) (266.0) 474.0 399.0 379.0 237.0
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Income Statement
Revenue 48,908 50,689 49,092 58,336 39,132 24,662 38,344 38,542 31,954 26,807 29,208 39,862 39,593 38,107 38,339 32,604 25,998 29,499 18,535 16,533 11,127 8,705.3 6,610.8 5,031.5 4,199.3 3,384.8 2,382.8 2,068.1 2,148.0 2,099.9 1,898.0 1,635.0 1,546
Gross Profit 28,894 29,732 29,102 35,890 23,862 13,974 24,333 23,103 19,797 15,920 16,576 21,288 21,388 20,362 15,780 17,070 9,683 9,458 8,378 8,361 5,467 5,252.0 4,924.6 3,849.5 2,604.3 2,326.0 1,724.5 979.9 1,589.0 1,383.9 1,134.0 977.0 861
Operating Income 15,490 16,557 15,909 22,986 12,558 3,940 12,774 12,352 10,447 6,451 7,439 11,325 7,500 7,071 7,293 5,065 1,048 4,069 3,383 3,867 1,847 1,636.7 1,876.9 1,333.0 702.0 682.4 298.0 390.1 338.1 444.8 344.0 268.1 192
Net Income 5,918 6,016 8,295 9,077 4,119 (4,319) 2,899 3,293 4,458 434 (1,995) 2,699 3,911 2,740 4,304 3,829 1,146 2,137 2,983 2,969 1,158 1,076.3 1,087.2 749.1 388.4 376.4 186.6 187.3 223.0 187.1 150.9 121.1 75
EPS (Diluted) 4.85 4.72 6.33 6.53 2.77 -2.83 1.86 2.02 2.68 0.27 -1.38 1.84 2.60 1.79 2.67 2.27 0.95 2.26 3.17 1.58 0.66 0.60 1.13 0.81 0.20 0.39 0.09 0.10 0.03 0.01 0.01 0.01 0.01
Balance Sheet
Cash & Equivalents 3,647.0 3,484 1,729 1,980 2,205 1,885 1,960 2,221 2,672 3,016 505 660 87.6 387.7 15.7 1.6 21.0 4.3 26.0 13.0 1.0 2.0 36.0 0
Total Assets 89,839.7 89,784 88,539 84,618 83,739 84,616 89,435 89,579 89,494 88,702 69,746 32,528 11,803.5 10,426.4 8,682.7 8,094.6 6,832.6 5,176.5 4,104.0 3,457.0 2,824.0 2,440.0 2,201.0 2,023.0
Total Debt 18,368.0 14,689 15,805 16,032 18,781 22,135 17,970 17,350 15,579 17,430 13,882 7,886 2,247.4 2,478.4 2,686.5 3,143.9 2,257.0 1,339.7 1,315.0 809.0 425.0 294.1 226.1 221.1
Stockholders' Equity 45,087.2 44,514 43,279 39,367 36,614 35,757 42,042 44,005 45,383 44,630 34,111 14,523 4,896.8 4,426.1 3,457.7 2,777.8 2,473.0 2,141.2 1,519.0 1,401.0 1,247.0 1,126.9 1,035.1 969.9
Cash Flow
Operating Cash Flow 12,770.6 15,960 12,344 15,680 11,764 2,675 10,421 10,580 8,966 5,680 2,421.2 2,201.8 2,218.2 1,455.8 811.8 907.3 837.7 513.0 581.0 474.0 399.0 379.0 237.0
Capital Expenditure (5,851.2) (6,483) (5,828) (5,120) (4,555) (3,926) (5,558) (5,406) (6,551) (6,582) 0 (1,845.5) (122.4) (876.6) (1,677.8) (1,997.6) (1,349.8) (936.1) (847.0) 0 0 0 0
Free Cash Flow 6,919.4 9,477 6,516 10,560 7,209 (1,251) 4,863 5,174 2,415 (902) 2,421.2 356.4 2,095.8 579.2 (866.0) (1,090.3) (512.2) (423.1) (266.0) 474.0 399.0 379.0 237.0