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NASDAQ:LNT

Alliant Energy Corporation

  • Stock

USD

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%

Preview

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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)