NASDAQ:LNT
Alliant Energy Corporation
- Stock
Last Close
66.74
06/11 21:01
Market Cap
13.33B
Beta: 0.54
Volume Today
1.49M
Avg: 1.62M
PE Ratio
17.60
PFCF: 19.63
Dividend Yield
3.83%
Payout:64.78%
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Dec '14 | Dec '15 | Dec '16 | Dec '17 | Dec '18 | Dec '19 | Dec '20 | Dec '21 | Dec '22 | Dec '23 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|
net income | 393.30M - | 388.40M 1.25% | 381.70M 1.73% | 467.50M 22.48% | 522.30M 11.72% | 567.40M 8.63% | 624M 9.98% | 674M 8.01% | 686M 1.78% | 703M 2.48% | |
depreciation and amortization | 442.30M - | 413.70M 6.47% | 406.80M 1.67% | 483.50M 18.85% | 517.50M 7.03% | 567.20M 9.60% | 615M 8.43% | 657M 6.83% | 671M 2.13% | 676M 0.75% | |
deferred income tax | 55.20M - | 114.20M 106.88% | 84.60M 25.92% | 139.60M 65.01% | 67M 52.01% | 55.60M 17.01% | -66M 218.71% | -78M 18.18% | 13M 116.67% | 98M 653.85% | |
stock based compensation | -4M - | -3.20M 20% | 75.10M 2,446.88% | -6.70M 108.92% | -10.70M 59.70% | 26M 342.99% | -613M 2,457.69% | -565M 7.83% | 13M 102.30% | -1.95B 15,100% | |
change in working capital | 25.90M - | -33.20M 228.19% | -47.10M 41.87% | -73.60M 56.26% | -524.80M 613.04% | -484.20M 7.74% | -560M 15.65% | -688M 22.86% | -866M 25.87% | -571M 34.06% | |
accounts receivables | 41.70M - | 19.80M 52.52% | -105.40M 632.32% | 20.60M 119.54% | -475.40M 2,407.77% | -471.70M 0.78% | -468M 0.78% | -530M 13.25% | -672M 26.79% | -414M 38.39% | |
inventory | -129.60M - | -74.60M 42.44% | -238.60M 219.84% | 3M - | -13M 533.33% | -27M 107.69% | -62M 129.63% | ||||
accounts payables | -42.70M - | 8M 118.74% | 24M 200% | -3M - | 37M 1,333.33% | 78M 110.81% | -122M 256.41% | ||||
other working capital | -15.80M - | 119.30M 855.06% | 124.90M 4.69% | 120.40M 3.60% | -49.40M 141.03% | -12.50M 74.70% | -92M 636% | -182M 97.83% | -245M 34.62% | 27M 111.02% | |
other non cash items | -21.10M - | -8.70M 58.77% | -41.50M 377.01% | -26.90M 35.18% | -43.60M 62.08% | -71.60M 64.22% | 501M 799.72% | 582M 16.17% | -31M 105.33% | 1.91B 6,264.52% | |
net cash provided by operating activities | 891.60M - | 871.20M 2.29% | 859.60M 1.33% | 983.40M 14.40% | 527.70M 46.34% | 660.40M 25.15% | 501M 24.14% | 582M 16.17% | 486M 16.49% | 867M 78.40% | |
investments in property plant and equipment | -1.64B - | -1.37B 16.71% | -1.17B 14.42% | -1.48B 26.95% | -1.85B 24.93% | ||||||
acquisitions net | -902.80M - | -1.03B 14.57% | -1.20B 15.71% | -1.47B 22.57% | -1.63B 11.38% | -1.64B 0.38% | -1.37B 16.71% | -1.17B 14.42% | -1.48B 26.95% | -1.73B 16.85% | |
purchases of investments | 1.73B - | ||||||||||
sales maturities of investments | 120M - | ||||||||||
other investing activites | -14.90M - | 115.10M 872.48% | 10.30M 91.05% | -29.40M 385.44% | 567.10M 2,028.91% | 1.99B 251.42% | 1.78B 10.63% | 1.61B 9.60% | 2.04B 26.40% | 333M 83.64% | |
net cash used for investing activites | -917.70M - | -919.20M 0.16% | -1.19B 29.08% | -1.50B 26.11% | -1.07B 28.70% | -1.29B 20.67% | -951M 26.12% | -728M 23.45% | -933M 28.16% | -1.40B 50.16% | |
debt repayment | -358.50M - | -183M 48.95% | -313.40M 71.26% | -4.60M 98.53% | -855.70M 18,502.17% | -256.50M 70.02% | -657M 156.14% | -8M 98.78% | -633M 7,812.50% | -780M 23.22% | |
common stock issued | 151.20M - | 26.60M 82.41% | 149.60M 462.41% | 196.60M 31.42% | 390.30M 98.52% | 247M 36.72% | 28M 88.66% | 25M 10.71% | 246M 884% | ||
common stock repurchased | 269.20M - | 884.30M 228.49% | 721.10M 18.46% | 1.53B 111.62% | 846.20M 44.55% | 1.30B 53.86% | -200M 115.36% | 1.56B - | |||
dividends paid | -225.80M - | -247.30M 9.52% | -266.50M 7.76% | -288.30M 8.18% | -312.20M 8.29% | -337.70M 8.17% | -377M 11.64% | -403M 6.90% | -428M 6.20% | -456M 6.54% | |
other financing activites | 657.50M - | 6.80M 98.97% | -1.70M 125% | -45.20M 2,558.82% | -24M 46.90% | -23.20M 3.33% | -27M 16.38% | 713M 2,740.74% | 1.47B 105.75% | 3M 99.80% | |
net cash used provided by financing activities | 73.20M - | -3.10M 104.23% | 329.30M 10,722.58% | 532.60M 61.74% | 530.70M 0.36% | 619.10M 16.66% | 488M 21.18% | 130M 73.36% | 431M 231.54% | 573M 32.95% | |
effect of forex changes on cash | 3M - | ||||||||||
net change in cash | 47.10M - | -51.10M 208.49% | 2.40M 104.70% | 19.70M 720.83% | -8.40M 142.64% | -7.80M 7.14% | 38M 587.18% | -16M 142.11% | -16M 0% | 42M 362.50% | |
cash at beginning of period | 9.80M - | 56.90M 480.61% | 5.80M 89.81% | 8.20M 41.38% | 33.90M 313.41% | 25.50M 24.78% | 18M 29.41% | 56M 211.11% | 40M 28.57% | 20M 50% | |
cash at end of period | 56.90M - | 5.80M 89.81% | 8.20M 41.38% | 27.90M 240.24% | 25.50M 8.60% | 17.70M 30.59% | 56M 216.38% | 40M 28.57% | 24M 40% | 62M 158.33% | |
operating cash flow | 891.60M - | 871.20M 2.29% | 859.60M 1.33% | 983.40M 14.40% | 527.70M 46.34% | 660.40M 25.15% | 501M 24.14% | 582M 16.17% | 486M 16.49% | 867M 78.40% | |
capital expenditure | -1.64B - | -1.37B 16.71% | -1.17B 14.42% | -1.48B 26.95% | -1.85B 24.93% | ||||||
free cash flow | 891.60M - | 871.20M 2.29% | 859.60M 1.33% | 983.40M 14.40% | 527.70M 46.34% | -979.70M 285.65% | -865M 11.71% | -587M 32.14% | -998M 70.02% | -987M 1.10% |
All numbers in USD (except ratios and percentages)