bf/NYSE:PEG_icon.jpeg

NYSE:PEG

Public Service Enterprise Group, Inc.

  • Stock

USD

Last Close

73.60

10/05 20:00

Market Cap

28.74B

Beta: 0.58

Volume Today

2.89M

Avg: 2.62M

PE Ratio

10.39

PFCF: 16.98

Dividend Yield

3.90%

Payout:29.88%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
1.24B
-
1.52B
22.12%
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
1.37B
-
1.43B
4.16%
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
270M
-
515M
90.74%
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
-1.96B
-
-1.76B
9.96%
-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
318M
-
-179M
156.29%
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
-5M
-
63M
1,360%
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
5M
-
-30M
700%
-273M
810%
323M
218.32%
-3M
100.93%
-337M
11,133.33%
77M
122.85%
56M
27.27%
105M
87.50%
-296M
-
accounts payables
19M
-
-3M
115.79%
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
299M
-
-209M
169.90%
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
1.92B
-
1.64B
14.26%
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
-
3.16B
0.06%
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
-2.81B
-
-2.82B
0.32%
-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
-1.17B
-
-1.93B
65.30%
-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
1.16B
-
1.92B
65.23%
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
21M
-
-53M
352.38%
-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
-2.80B
-
-2.89B
3.25%
-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
-1.25B
-
-737M
41.09%
-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
-728M
-
-748M
2.75%
-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
1.74B
-
1.13B
35.14%
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
-243M
-
-359M
47.74%
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
114M
-
-91M
179.82%
-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
379M
-
493M
30.08%
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
493M
-
402M
18.46%
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
-
3.16B
0.06%
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
-2.81B
-
-2.82B
0.32%
-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
347M
-
340M
2.02%
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)