PBA Pembina Pipeline Corp. Ordinary Shares (Canada)

NYSE · Energy
$49,63
Prezzo · Ago 19, 2026

Informazioni su Pembina Pipeline Corp. Ordinary Shares (Canada) Panoramica della società da Wikipedia

Pembina Pipeline is a Canadian corporation that operates transportation and storage infrastructure that delivers oil and natural gas to and from parts of Western Canada. Since 2003, this has included ethylene storage at one location. Western Canada is the source of all products transported by Pembina pipeline systems, which include the Syncrude pipeline, Horizon pipeline, and Cheecham oilsands pipelines.

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Pembina Pipeline is a Canadian corporation that operates transportation and storage infrastructure that delivers oil and natural gas to and from parts of Western Canada. Since 2003, this has included ethylene storage at one location. Western Canada is the source of all products transported by Pembina pipeline systems, which include the Syncrude pipeline, Horizon pipeline, and Cheecham oilsands pipelines.

Pembina Pipeline Corporation became an income fund (trust) in 1997, joining the Toronto Stock Exchange with an IPO of $600 million. On October 1, 2010, it converted to a public corporation and changed its official name from Pembina Pipeline Income Fund to Pembina Pipeline Corporation. As of 2023, the company had more than 2,837 employees.

History

The company can be traced back to 1954 when the Pembina pipeline system was built to serve the Pembina oil field in the Drayton Valley region. For the next 37 years, the company's main operations were centred on oil delivery to Edmonton using the Pembina pipeline.

The company made its first acquisition, Peace Pipe Line Ltd., in 1991. Five years later, it bought half of the Bonnie Glen System, a 250 km-long network serving oil fields in central Alberta. Inter Pipeline Fund, the leading transporter of oilsands bitumen, was also established in 1997.

Three years later in 2000, Pembina took over Federated Pipe Lines Ltd. in a $340 million deal from a group headed by Imperial Oil (Pembina needed to use a $420 million credit facility). After the takeover, Pembina's network in Western Canada was 7,000 km long and transported nearly 550,000 b/d of oil and natural gas.

In 2001, Pembina sold a salt cavern in Hardisty to Canadian Crude Separators Inc., and acquired 100 percent of the main Syncrude pipeline by taking over its operator, Alberta Oil Sands Pipeline Ltd. for $225 million. The buyout of Alberta Oil Sands Pipeline was instrumental in Pembina's growth by giving them access to a number of large oil and gas customers, including Imperial Oil, Conoco Oil, Nexen, and Petro-Canada.

On June 24, 2003, Pembina bought 50 percent of an ethylene storage facility in Fort Saskatchewan for $185 million from NOVA Chemicals Corp, the other 50 per cent owned by Dow Chemical Canada.

On June 2, 2009, Pembina acquired the Cutbank Complex from a Talisman Energy subsidiary for $300 million in cash (provided by a credit facility).

In 2012, Pembina purchased Provident Energy, a Canadian company, for $3.1 billion in stock. In 2017, it purchased rival energy infrastructure corporation Veresen, for $9.7 billion. At the time, Veresen was primarily a natural gas transportation company, while Pembina focused on transporting oil and other liquids.

In 2019, Pembina purchased Kinder Morgan Canada Limited, along with a portion of the Cochin pipeline, for $4.35 billion.

In 2024, Pembina purchased the remaining 50% of Alliance Pipeline from Enbridge along with an additional 42.7% of the Aux Sable gas processing facility.

Operations

Operations are segmented into three main areas: (1) infrastructure for transporting conventional oil, (2) infrastructure for transporting oil sands and heavy oil, and (3) services related to storage and logistics (terminals, hubs, and midstreams), as well as marketing.

Conventional oil infrastructure

These operations oversee pipelines in British Columbia and Alberta that transport crude oil and natural gas liquids. There are two main systems: the Alberta System and the BC System.

The Alberta System wholly owns and runs three systems (all in operation since the 1950s), the largest of which is the Peace System (2009), and owns 50% of another, the Glen System (shared with Keyera Energy), and has a 10% interest in the Wabasca Oil Field System. Equal Energy Ltd is one of many minor producers that use the peace pipeline. Equal's 16 wells near Grand Prairie, Alberta, deliver oil to the system.

BC System, 100% owned, has been in operation since 1960, and encompasses 3 storing facilities. The crude oil pipelines run in northeastern BC and connect Taylor to Kamloops. The total capacity is half of the smallest Alberta pipeline system (80,000 b/d in May 2009).

Oil sands and heavy oil infrastructure

These operations manage pipelines (and their associated facilities) used to transport synthetic crude from upgrading facilities. The division oversees the Syncrude pipeline, Cheechan pipeline (operating since 2006), and Horizon pipeline (operating 2008). All three have long-term contracts (over 20 years). Syncrude represents half of the total design capacity.

Horizon serves Canadian Natural Resources at their most important synthetic oil-producing area. (For the Horizon project, the contract is for 25 years).

Midstream and marketing

This consists of Pembina's storage and terminal business. 18% of revenue comes from storage and related services not connected with the Cutbank Complex and Ethylene storage.

Cutbank consists of three gas plants (Cutbank, Musreau, and Kakwa River), nine compressor stations, and a 300 km-long system that gathers and processes natural gas liquids. Kakwa is 50% owned by Pembina but operated by another company.

Ethylene Storage 50% is an underground operation. The contract runs until 2023 and is operated by Dow Chemicals. Dow Chemicals along with Nova Chemicals Corp (the company from which Pembina bought its interest in 2003) are the biggest customers.

== References ==

Fonte: Wikipedia (Inglese), CC BY-SA 4.0 · Vedi su Wikipedia ↗

Wikidata ↗

PBA Snapshot del titolo Prezzo, capitalizzazione di mercato, P/E, EPS, ROE, debito/capitale proprio, intervallo 52 settimane

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$49.63
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Dividendi Rendimento, payout ratio, storico dividendi, CAGR 5Y

Dividend Yield
Rapporto di Distribuzione Utili
CAGR Dividendi 5Y
Data ex-dividendoImporto
15 Giugno 2026$0,5250
16 Marzo 2026$0,5180
16 Giugno 2025$0,5230
17 Marzo 2025$0,4800
16 Dicembre 2024$0,4850
16 Settembre 2024$0,5080
17 Giugno 2024$0,5030
14 Marzo 2024$0,4960
14 Dicembre 2023$0,4940
14 Settembre 2023$0,4930
14 Giugno 2023$0,5010
14 Marzo 2023$0,4750
14 Dicembre 2022$0,1610
25 Novembre 2022$0,1630
24 Ottobre 2022$0,1590
22 Settembre 2022$0,1620
24 Agosto 2022$0,1620
22 Luglio 2022$0,1630
23 Giugno 2022$0,1620
24 Maggio 2022$0,1650

PBA Consenso degli analisti Opinioni degli analisti, sia rialziste che ribassiste, target price a 12 mesi, potenziale di rialzo

COMPRA 22 analisti
  • Acquisto forte 2 9,1%
  • Compra 12 54,5%
  • Mantieni 8 36,4%
  • Vendi 0 0,0%
  • Vendita forte 0 0,0%

Target Price a 12 Mesi

1 analisti · 2026-08-18
Target mediano $47.54 -4,2%
Target medio $47.54 -4,2%

Cronologia utili EPS effettivo vs stima, surprise %, tasso di superamento, data prossimi utili

Sorpresa media
-0.01%
Periodo EPS Actual EPS Stimato Sorpresa
30 Giugno 2026 $0.82 $0.73 0.09%
31 Marzo 2026 $0.81 $0.74 0.07%
31 Dicembre 2025 $0.78 $0.74 0.04%
30 Settembre 2025 $0.43 $0.65 -0.22%
30 Giugno 2025 $0.65 $0.65 -0.00%
31 Marzo 2025 $0.80 $0.81 -0.01%

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Proprietari istituzionali (13F) 469 filer · $9.4B totale · Aggiornato al 30 Giugno 2026

Istituzioni che segnalano il possesso di questo titolo nel loro Modulo SEC 13F trimestrale. Solo posizioni lunghe; un singolo depositante può apparire due volte per diverse gambe di opzioni. Grandi posizioni put/call contrapposte riflettono tipicamente market-making o inventario coperto, non convinzione direzionale.

Attività istituzionale — Q2 2026 vs trimestre precedente
Nuove posizioni Posizioni chiuse Aumentato Diminuito Variazione netta delle azioni
48 (-23 vs trimestre precedente) 34 (+9 vs trimestre precedente) 142 (0 vs trimestre precedente) 152 (+16 vs trimestre precedente) +22.5M

Confrontato con Q1 2026. Le dichiarazioni SEC Form 13F sono dovute entro 45 giorni dalla fine del trimestre più un breve margine per i dichiaranti in ritardo — i trimestri ancora all'interno di questa finestra vengono saltati a favore della coppia più recente completamente riportata.

Istituzione Valore Azioni % di 13F tracciati Tipo
VANGUARD CAPITAL MANAGEMENT LLC $774.434.941 16.738.025 8,27% Azioni
CIBC WORLD MARKET INC. $599.157.752 12.961.055 6,40% Azioni
MACKENZIE FINANCIAL CORP $468.146.138 7.134.199 5,00% Azioni
1832 Asset Management L.P. $460.349.236 9.953.497 4,92% Azioni
JARISLOWSKY, FRASER Ltd $356.467.861 8.814.455 3,81% Azioni
SCOTIA CAPITAL INC. $292.836.844 6.336.302 3,13% Azioni
MANUFACTURERS LIFE INSURANCE COMPANY, THE $285.737.568 6.187.904 3,05% Azioni
TD Asset Management Inc $275.013.177 5.945.976 2,94% Azioni
GOLDMAN SACHS GROUP INC $270.621.099 5.851.267 2,89% Azioni
GEODE CAPITAL MANAGEMENT, LLC $269.996.481 5.711.851 2,88% Azioni
CANADA PENSION PLAN INVESTMENT BOARD $264.907.438 5.731.205 2,83% Azioni
NORGES BANK $252.224.136 5.456.805 2,69% Azioni
VANGUARD FIDUCIARY TRUST CO $238.607.962 5.157.084 2,55% Azioni
Vanguard Global Advisers, LLC $206.540.768 4.464.009 2,21% Azioni
Rare Infrastructure Ltd $204.380.249 5.448.687 2,18% Azioni
TORTOISE CAPITAL ADVISORS, L.L.C. $181.333.120 3.919.787 1,94% Azioni
BANK OF NOVA SCOTIA $173.987.979 3.760.646 1,86% Azioni
Cardinal Capital Management, Inc. $157.779.109 3.535.899 1,68% Azioni
CIBC Asset Management Inc $156.533.335 3.381.439 1,67% Azioni
MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd. $153.384.888 3.316.430 1,64% Azioni
DIMENSIONAL FUND ADVISORS LP $146.877.143 3.175.722 1,57% Azioni
VANGUARD GROUP INC $143.401.794 3.764.123 1,53% Azioni
NATIONAL BANK OF CANADA /FI/ $125.772.220 2.726.445 1,34% Azioni
UniSuper Management Pty Ltd $113.359.469 1.727.514 1,21% Azioni
TD Waterhouse Canada Inc. $110.960.798 2.419.798 1,18% Azioni
FMR LLC $110.848.333 2.395.773 1,18% Azioni
ONTARIO TEACHERS PENSION PLAN BOARD $105.984.006 2.292.937 1,13% Azioni
CHARLES SCHWAB INVESTMENT MANAGEMENT INC $89.911.449 1.943.948 0,96% Azioni
Swiss National Bank $86.665.825 1.878.596 0,93% Azioni
INTACT INVESTMENT MANAGEMENT INC. $83.400.297 1.802.664 0,89% Azioni
BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp $79.148.886 1.712.366 0,85% Azioni
BCV Asset Management Inc. $73.685.323 1.577.026 0,79% Azioni
NEUBERGER BERMAN GROUP LLC $71.505.157 1.545.774 0,76% Azioni
Recurrent Investment Advisors LLC $69.630.941 1.498.252 0,74% Azioni
WESTWOOD HOLDINGS GROUP INC $62.474.226 1.350.792 0,67% Azioni
VANGUARD ASSET MANAGEMENT, Ltd $56.711.844 1.225.725 0,61% Azioni
ROYAL BANK OF CANADA $54.829.000 1.185.500 0,59% Opzione Put
Nuveen Asset Management, LLC $53.653.361 1.452.914 0,57% Azioni
CUSHING ASSET MANAGEMENT, LP dba NXG INVESTMENT MANAGEMENT $53.562.125 1.158.100 0,57% Azioni
Legal & General Group Plc $50.340.268 1.088.394 0,54% Azioni
Federation des caisses Desjardins du Quebec $49.867.798 1.081.114 0,53% Azioni
MASSACHUSETTS FINANCIAL SERVICES CO /MA/ $48.785.451 743.454 0,52% Azioni
Hillsdale Investment Management Inc. $47.627.291 1.030.460 0,51% Azioni
Periscope Capital Inc. $46.470.971 1.004.800 0,50% Opzione Call
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND $44.440.031 961.400 0,47% Azioni
Fiera Capital Corp $41.245.183 893.038 0,44% Azioni
Blackstone Inc. $40.841.895 883.068 0,44% Azioni
SIG North Trading, ULC $40.445.625 874.500 0,43% Opzione Put
Addenda Capital Inc. $39.811.457 606.697 0,43% Azioni
MUFG SECURITIES (CANADA), LTD. $37.987.702 822.347 0,41% Azioni
DZ BANK AG Deutsche Zentral Genossenschafts Bank, Frankfurt am Main $36.805.685 795.659 0,39% Azioni
D. E. Shaw & Co., Inc. $32.485.020 702.819 0,35% Azioni
NICOLA WEALTH MANAGEMENT LTD. $30.731.193 664.500 0,33% Azioni
NEOS Investment Management LLC $30.210.084 653.163 0,32% Azioni
SIG North Trading, ULC $29.165.250 630.600 0,31% Opzione Call
ROYAL BANK OF CANADA $29.082.000 628.800 0,31% Opzione Call
Maryland State Retirement & Pension System $29.050.587 628.603 0,31% Azioni
Public Sector Pension Investment Board $28.315.286 612.594 0,30% Azioni
Clearbridge Investments, LLC $27.669.110 598.251 0,30% Azioni
Vanguard Investments Australia, Ltd. $26.810.085 579.452 0,29% Azioni
AVIVA PLC $22.884.508 495.430 0,24% Azioni
Purpose Unlimited Inc. $21.565.942 466.332 0,23% Azioni
MILLER HOWARD INVESTMENTS INC /NY $21.517.026 465.233 0,23% Azioni
KAYNE ANDERSON CAPITAL ADVISORS LP $20.341.028 439.806 0,22% Azioni
Harvest Portfolios Group Inc. $20.257.552 437.828 0,22% Azioni
AMERICAN CENTURY COMPANIES INC $20.226.229 437.151 0,22% Azioni
GUARDIAN CAPITAL LP $20.207.537 436.901 0,22% Azioni
BANK OF NOVA SCOTIA TRUST CO $17.286.169 373.755 0,18% Azioni
CITADEL ADVISORS LLC $16.138.938 348.950 0,17% Azioni
Catalyst Capital Advisors LLC $15.825.871 342.181 0,17% Azioni
VANGUARD PORTFOLIO MANAGEMENT LLC $15.452.263 333.973 0,17% Azioni
State of Tennessee, Department of Treasury $15.291.368 330.610 0,16% Azioni
CIDEL ASSET MANAGEMENT INC $14.201.980 307.057 0,15% Azioni
ENVESTNET ASSET MANAGEMENT INC $14.025.191 303.247 0,15% Azioni
Nuveen, LLC $13.737.712 297.019 0,15% Azioni
D. E. Shaw & Co., Inc. $12.710.784 275.000 0,14% Opzione Call
RENAISSANCE TECHNOLOGIES LLC $12.527.460 270.864 0,13% Azioni
PJT Investments Corp. $12.355.503 267.146 0,13% Azioni
Pictet Asset Management Holding SA $11.614.150 251.106 0,12% Azioni
CITADEL ADVISORS LLC $11.224.875 242.700 0,12% Opzione Call
Zurcher Kantonalbank (Zurich Cantonalbank) $11.133.083 240.705 0,12% Azioni
FEDERATED HERMES, INC. $11.022.716 238.329 0,12% Azioni
CIBC Private Wealth Group LLC $10.832.113 267.724 0,12% Azioni
MONTRUSCO BOLTON INVESTMENTS INC. $10.366.087 224.122 0,11% Azioni
Investment Management Corp of Ontario $9.587.718 207.302 0,10% Azioni
DEUTSCHE BANK AG\ $9.493.784 205.271 0,10% Azioni
Northwest & Ethical Investments L.P. $9.340.291 202.103 0,10% Azioni
D. E. Shaw & Co., Inc. $9.244.207 200.000 0,10% Opzione Put
Guardian Partners Inc. $8.910.069 192.642 0,10% Azioni
Quantinno Capital Management LP $8.616.201 186.296 0,09% Azioni
JANE STREET GROUP, LLC $8.602.500 186.000 0,09% Opzione Call
STATE OF WISCONSIN INVESTMENT BOARD $8.445.566 182.599 0,09% Azioni
UBS Group AG $8.267.743 178.762 0,09% Azioni
Connor, Clark & Lunn Investment Management Ltd. $7.846.735 169.756 0,08% Azioni
USS Investment Management Ltd $7.630.993 163.389 0,08% Azioni
TORONTO DOMINION BANK $7.626.621 165.000 0,08% Azioni
NORTHERN TRUST CORP $7.485.193 161.842 0,08% Azioni
PEAK6 LLC $7.400.000 160.000 0,08% Opzione Call
Alberta Investment Management Corp $7.273.947 157.370 0,08% Azioni
MORGAN STANLEY $7.184.475 155.340 0,08% Azioni

Proprietà ETF Posseduti da 35 ETF

Il peso riflette solo le partecipazioni azionarie dirette (N-PORT); fondi a leva o basati su derivati possono detenere ulteriore esposizione swap non mostrata.

Fondo Peso Unità Aggiornato al Fonte
ENFR · ALPS ETF Trust 5,18% 510.288 NS 31 Maggio 2026 N-PORT
MLPX · Global X Funds 4,55% 3.464.461 NS 31 Maggio 2026 N-PORT
TPYP · Tortoise Capital Series Trust 4,21% 756.017 NS 31 Maggio 2026 N-PORT
USAI · Pacer Funds Trust 3,62% 84.734 NS 30 Aprile 2026 N-PORT
GENW · Spinnaker ETF Series 2,44% 2.542 NS 30 Aprile 2026 N-PORT
TOLZ · ProShares Trust 1,69% 63.038 NS 31 Maggio 2026 N-PORT
NBET · Neuberger Berman ETF Trust 1,03% 9.971 NS 30 Aprile 2026 N-PORT
BBCA · J.P. Morgan Exchange-Traded Fund Tr… 0,90% 2.065.182 NS 30 Aprile 2026 N-PORT
IQRA · New York Life Investments Active ET… 0,80% 1.186 NS 30 Aprile 2026 N-PORT
ESIM · Strategy Shares 0,76% 2.685 NS 30 Aprile 2026 N-PORT
IGE · iShares Trust 0,74% 115.430 SH 08 Agosto 2026 Giornaliero
RFDI · First Trust Exchange-Traded Fund III 0,59% 19.163 NS 30 Aprile 2026 N-PORT
NFRA · FlexShares Trust 0,42% 277.472 NS 30 Aprile 2026 N-PORT
FEDM · FlexShares Trust 0,37% 6.324 NS 30 Aprile 2026 N-PORT
DFIV · Dimensional ETF Trust 0,34% 1.420.434 NS 30 Aprile 2026 N-PORT
DFIC · Dimensional ETF Trust 0,14% 410.796 NS 30 Aprile 2026 N-PORT
DFAI · Dimensional ETF Trust 0,13% 435.516 NS 30 Aprile 2026 N-PORT
DXIV · Dimensional ETF Trust 0,12% 3.612 NS 30 Aprile 2026 N-PORT
JFLI · J.P. Morgan Exchange-Traded Fund Tr… 0,11% 1.038 NS 30 Aprile 2026 N-PORT
BKIE · BNY Mellon ETF Trust 0,11% 27.719 NS 30 Aprile 2026 N-PORT
AVDE · AMERICAN CENTURY ETF TRUST 0,10% 359.472 NS 31 Maggio 2026 N-PORT
FNDF · SCHWAB STRATEGIC TRUST 0,09% 491.744 NS 31 Maggio 2026 N-PORT
SCHF · SCHWAB STRATEGIC TRUST 0,09% 1.295.315 NS 31 Maggio 2026 N-PORT
GSIE · Goldman Sachs ETF Trust 0,08% 101.650 NS 31 Maggio 2026 N-PORT
DEEF · DBX ETF Trust 0,08% 975 NS 29 Maggio 2026 N-PORT
DFAX · Dimensional ETF Trust 0,08% 195.773 NS 30 Aprile 2026 N-PORT
DIHP · Dimensional ETF Trust 0,08% 95.735 NS 30 Aprile 2026 N-PORT
DBAW · DBX ETF Trust 0,07% 4.051 NS 29 Maggio 2026 N-PORT
GXUS · Goldman Sachs ETF Trust II 0,07% 9.592 NS 29 Maggio 2026 N-PORT
GLBL · Pacer Funds Trust 0,07% 15 NS 30 Aprile 2026 N-PORT
TLTD · FlexShares Trust 0,06% 7.616 NS 30 Aprile 2026 N-PORT
ESGG · FlexShares Trust 0,05% 1.160 NS 30 Aprile 2026 N-PORT
KOKU · DBX ETF Trust 0,03% 5.424 NS 29 Maggio 2026 N-PORT
VOXP · Advisors Series Trust 0,03% 36 NS 30 Aprile 2026 N-PORT
AVIV · AMERICAN CENTURY ETF TRUST 0,01% 2.944 NS 31 Maggio 2026 N-PORT