bf/NYSE:CMSpB_icon.png

COM:CONSUMERSENERGY

Consumers Energy

  • Stock

USD

Last Close

80.97

22/11 18:54

Market Cap

6.63B

Beta: -

Volume Today

355

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
454M
-
479M
5.51%
525M
9.60%
553M
5.33%
462M
16.46%
659M
42.64%
682M
3.49%
752M
10.26%
1.33B
76.86%
813M
38.87%
808M
0.62%
depreciation and amortization
628M
-
685M
9.08%
750M
9.49%
811M
8.13%
881M
8.63%
933M
5.90%
992M
6.32%
1.05B
5.65%
1.11B
6.30%
1.13B
1.08%
1.18B
4.80%
deferred income tax
268M
-
227M
15.30%
247M
8.81%
264M
6.88%
417M
57.95%
182M
56.35%
150M
17.58%
170M
13.33%
249M
46.47%
89M
64.26%
157M
76.40%
stock based compensation
211M
-
103M
51.18%
149M
44.66%
50M
66.44%
37M
26%
54M
45.95%
67M
24.07%
90M
34.33%
-746M
928.89%
26M
103.49%
34M
30.77%
change in working capital
-2M
-
-32M
1,500%
222M
793.75%
7M
96.85%
-174M
2,585.71%
105M
160.34%
-33M
131.43%
-50M
51.52%
-46M
8%
-1.11B
2,319.57%
416M
137.38%
accounts receivables
-104M
-
-31M
70.19%
120M
487.10%
-155M
229.17%
-66M
57.42%
15M
122.73%
45M
200%
-5M
111.11%
-103M
1,960.00%
-677M
557.28%
241M
135.60%
inventory
202M
-
-36M
117.82%
147M
508.33%
146M
0.68%
-46M
131.51%
14M
130.43%
44M
214.29%
28M
36.36%
-93M
432.14%
-450M
383.87%
185M
141.11%
accounts payables
6M
-
50M
733.33%
-26M
152%
59M
326.92%
49M
16.95%
22M
55.10%
-69M
413.64%
56M
181.16%
153M
173.21%
-9M
105.88%
-136M
1,411.11%
other working capital
-210M
-
-46M
78.10%
101M
319.57%
-198M
296.04%
-177M
10.61%
54M
130.51%
-53M
198.15%
-129M
143.40%
-3M
97.67%
23M
866.67%
126M
447.83%
other non cash items
73M
-
88M
20.55%
-104M
218.18%
-6M
94.23%
119M
2,083.33%
-230M
293.28%
-68M
70.43%
-734M
979.41%
-82M
88.83%
-86M
4.88%
-286M
232.56%
net cash provided by operating activities
1.42B
-
1.45B
1.83%
1.64B
13.34%
1.63B
0.67%
1.71B
4.67%
1.70B
0.12%
1.79B
5.11%
1.28B
28.72%
1.82B
42.55%
855M
53.00%
2.31B
170.06%
investments in property plant and equipment
-1.38B
-
-1.65B
19.62%
-1.65B
0.06%
-1.78B
7.62%
-1.78B
0.06%
-2.22B
24.72%
-2.24B
0.72%
-2.45B
9.48%
-2.21B
9.76%
-2.48B
12.31%
-2.57B
3.75%
acquisitions net
-154M
-
97M
-
89M
8.25%
898M
908.99%
5M
99.44%
-812M
16,340%
purchases of investments
sales maturities of investments
146M
-
other investing activites
-1.48B
-
-1.83B
24.32%
-1.80B
1.85%
-1.81B
0.39%
-1.75B
3.04%
-532M
69.65%
-677M
27.26%
-508M
24.96%
78M
115.35%
net cash used for investing activites
-1.53B
-
-1.91B
24.67%
-2.04B
7.02%
-1.92B
6.31%
-1.87B
2.45%
-2.61B
39.51%
-2.82B
8.06%
-2.87B
1.81%
-1.23B
56.99%
-2.48B
100.81%
-3.39B
36.75%
debt repayment
-776M
-
-801M
3.22%
-260M
67.54%
-750M
188.46%
-1.25B
67.20%
-2.00B
59.81%
-1.28B
35.88%
-2.01B
56.42%
-235M
88.31%
-106M
54.89%
-2.13B
1,911.32%
common stock issued
36M
-
43M
19.44%
43M
0%
72M
67.44%
83M
15.28%
41M
50.60%
12M
70.73%
253M
2,008.33%
26M
89.72%
69M
165.38%
192M
178.26%
common stock repurchased
-7M
-
1.30B
-
1.68B
29.43%
3.28B
95.24%
2.77B
15.40%
3.50B
26.31%
475M
86.45%
3.62B
-
dividends paid
-273M
-
-295M
8.06%
-322M
9.15%
-347M
7.76%
-377M
8.65%
-407M
7.96%
-436M
7.13%
-467M
7.11%
-509M
8.99%
-546M
7.27%
-579M
6.04%
other financing activites
2.42B
-
1.55B
35.91%
1.00B
35.40%
1.28B
27.74%
1.66B
29.53%
-36M
102.17%
-58M
61.11%
338M
682.76%
-52M
115.38%
1.91B
3,773.08%
38M
98.01%
net cash used provided by financing activities
190M
-
498M
162.11%
463M
7.03%
255M
44.92%
110M
56.86%
874M
694.55%
1.01B
15.33%
1.62B
60.62%
-295M
118.22%
1.33B
549.83%
1.14B
13.87%
effect of forex changes on cash
net change in cash
79M
-
35M
55.70%
59M
68.57%
-31M
152.54%
-53M
70.97%
-29M
45.28%
-18M
37.93%
28M
255.56%
291M
939.29%
-294M
201.03%
66M
122.45%
cash at beginning of period
93M
-
172M
84.95%
207M
20.35%
288M
39.13%
257M
10.76%
204M
20.62%
175M
14.22%
157M
10.29%
185M
17.83%
476M
157.30%
182M
61.76%
cash at end of period
172M
-
207M
20.35%
266M
28.50%
257M
3.38%
204M
20.62%
175M
14.22%
157M
10.29%
185M
17.83%
476M
157.30%
182M
61.76%
248M
36.26%
operating cash flow
1.42B
-
1.45B
1.83%
1.64B
13.34%
1.63B
0.67%
1.71B
4.67%
1.70B
0.12%
1.79B
5.11%
1.28B
28.72%
1.82B
42.55%
855M
53.00%
2.31B
170.06%
capital expenditure
-1.38B
-
-1.65B
19.62%
-1.65B
0.06%
-1.78B
7.62%
-1.78B
0.06%
-2.22B
24.72%
-2.24B
0.72%
-2.45B
9.48%
-2.21B
9.76%
-2.48B
12.31%
-2.57B
3.75%
free cash flow
40M
-
-205M
612.50%
-13M
93.66%
-150M
1,053.85%
-75M
50%
-517M
589.33%
-446M
13.73%
-1.17B
162.78%
-390M
66.72%
-1.63B
316.92%
-265M
83.70%

All numbers in USD (except ratios and percentages)