bf/NYSE:PEG_icon.jpeg

NYSE:PEG

Public Service Enterprise Group, Inc.

  • Stock

USD

Last Close

82.40

06/11 21:33

Market Cap

38.00B

Beta: 0.58

Volume Today

4.68M

Avg: 2.62M

PE Ratio

10.39

PFCF: 16.98

Dividend Yield

3.90%

Payout:29.88%

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 '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
1.52B
-
1.68B
10.61%
887M
47.17%
1.57B
77.45%
1.44B
8.64%
1.69B
17.73%
1.91B
12.52%
-648M
134.02%
1.03B
259.10%
2.56B
148.59%
depreciation and amortization
1.43B
-
1.43B
0%
1.68B
17.66%
2.19B
30.14%
1.34B
38.44%
1.43B
6.02%
1.47B
3.02%
1.40B
4.49%
1.28B
8.55%
1.32B
3.20%
deferred income tax
515M
-
685M
33.01%
474M
30.80%
-167M
135.23%
568M
440.12%
180M
68.31%
139M
22.78%
-817M
687.77%
-264M
67.69%
355M
234.47%
stock based compensation
-1.76B
-
-2.34B
32.56%
-2.20B
5.73%
-1.94B
11.98%
-1.68B
13.15%
-1.88B
11.52%
-1.90B
1.28%
513M
126.97%
29M
94.35%
-1.21B
4,255.17%
change in working capital
-179M
-
225M
225.70%
50M
77.78%
-79M
258%
-229M
189.87%
272M
218.78%
294M
8.09%
-1.10B
473.81%
-847M
22.93%
1.31B
254.31%
accounts receivables
63M
-
165M
161.90%
-71M
143.03%
-45M
36.62%
51M
213.33%
-18M
135.29%
-100M
455.56%
-34M
66%
-132M
288.24%
72M
154.55%
inventory
-30M
-
-273M
810%
323M
218.32%
-3M
100.93%
-337M
11,133.33%
77M
122.85%
56M
27.27%
105M
87.50%
-296M
-
accounts payables
-3M
-
45M
1,600%
-22M
148.89%
39M
277.27%
-13M
133.33%
-59M
353.85%
44M
174.58%
-71M
261.36%
96M
235.21%
13M
86.46%
other working capital
-209M
-
288M
237.80%
-180M
162.50%
-70M
61.11%
70M
200%
272M
288.57%
294M
8.09%
-1.10B
473.81%
-811M
26.21%
1.52B
287.18%
other non cash items
1.64B
-
2.24B
36.42%
2.42B
8.21%
1.69B
30.40%
1.48B
12.57%
1.69B
14.31%
1.20B
29.00%
2.38B
99.16%
271M
88.63%
-538M
298.52%
net cash provided by operating activities
3.16B
-
3.92B
24.02%
3.31B
15.51%
3.26B
1.51%
2.91B
10.67%
3.38B
16.00%
3.10B
8.20%
1.74B
44.04%
1.50B
13.42%
3.81B
153.23%
investments in property plant and equipment
-2.82B
-
-3.86B
36.99%
-4.30B
11.26%
-4.31B
0.21%
-4.06B
5.78%
-3.26B
19.57%
-3.03B
7.05%
-2.82B
7.15%
-2.89B
2.52%
-3.33B
15.13%
acquisitions net
-99M
-
-117M
18.18%
-174M
48.72%
-71M
59.20%
206M
390.14%
-111M
153.88%
-124M
11.71%
291M
334.68%
purchases of investments
-1.93B
-
-1.55B
19.75%
-856M
44.85%
-2.34B
173.36%
-1.47B
37.05%
-1.81B
23.15%
-2.25B
24.04%
-2.09B
7.02%
-10M
99.52%
-3M
70%
sales maturities of investments
1.92B
-
1.50B
21.62%
824M
45.10%
2.32B
181.43%
1.50B
35.27%
1.79B
19.05%
2.23B
25.01%
2.10B
6.00%
12M
99.43%
4M
66.67%
other investing activites
-53M
-
-28M
47.17%
181M
746.43%
189M
4.42%
288M
52.38%
217M
24.65%
168M
22.58%
676M
302.38%
1.91B
182.40%
75M
96.07%
net cash used for investing activites
-2.89B
-
-3.94B
36.31%
-4.25B
7.76%
-4.26B
0.19%
-3.92B
7.99%
-3.15B
19.69%
-2.68B
14.91%
-2.24B
16.14%
-1.10B
50.94%
-2.96B
168.66%
debt repayment
-737M
-
-859M
16.55%
-824M
4.07%
-500M
39.32%
-1.35B
170%
-1.25B
7.41%
-2.22B
77.36%
-3.68B
65.81%
-4.02B
9.33%
-3.83B
4.83%
common stock issued
common stock repurchased
-500M
-
dividends paid
-748M
-
-789M
5.48%
-830M
5.20%
-870M
4.82%
-910M
4.60%
-950M
4.40%
-991M
4.32%
-1.03B
4.04%
-1.08B
4.66%
-1.14B
5.38%
other financing activites
1.13B
-
1.66B
47.69%
2.62B
57.55%
2.25B
13.93%
3.15B
39.56%
1.94B
38.26%
3.18B
63.56%
5.51B
73.25%
4.84B
12.02%
3.70B
23.58%
net cash used provided by financing activities
-359M
-
15M
104.18%
966M
6,340%
885M
8.39%
887M
0.23%
-257M
128.97%
-30M
88.33%
799M
2,763.33%
-754M
194.37%
-1.26B
67.11%
effect of forex changes on cash
221M
-
net change in cash
-91M
-
-8M
91.21%
29M
462.50%
-110M
479.31%
-116M
5.45%
-23M
80.17%
396M
1,821.74%
291M
26.52%
-352M
220.96%
-412M
17.05%
cash at beginning of period
493M
-
402M
18.46%
394M
1.99%
423M
7.36%
315M
25.53%
199M
36.83%
176M
11.56%
572M
225%
863M
50.87%
511M
40.79%
cash at end of period
402M
-
394M
1.99%
423M
7.36%
313M
26.00%
199M
36.42%
176M
11.56%
572M
225%
863M
50.87%
511M
40.79%
99M
80.63%
operating cash flow
3.16B
-
3.92B
24.02%
3.31B
15.51%
3.26B
1.51%
2.91B
10.67%
3.38B
16.00%
3.10B
8.20%
1.74B
44.04%
1.50B
13.42%
3.81B
153.23%
capital expenditure
-2.82B
-
-3.86B
36.99%
-4.30B
11.26%
-4.31B
0.21%
-4.06B
5.78%
-3.26B
19.57%
-3.03B
7.05%
-2.82B
7.15%
-2.89B
2.52%
-3.33B
15.13%
free cash flow
340M
-
56M
83.53%
-987M
1,862.50%
-1.05B
5.98%
-1.15B
9.46%
115M
110.04%
68M
40.87%
-1.08B
1,689.71%
-1.39B
28.12%
481M
134.73%

All numbers in USD (except ratios and percentages)