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AES The AES Corp

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  • 16.650
  • +0.260+1.59%
Close Aug 8 16:00 ET
11.84BMarket Cap15.71P/E (TTM)

The AES Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-30.25%392M
-54.08%287M
11.75%3.03B
-31.99%725M
43.11%1.12B
37.75%562M
36.76%625M
42.74%2.72B
103.82%1.07B
1.16%784M
Net income from continuing operations
-105.26%-39M
47.09%278M
63.96%-182M
34.79%-643M
-34.75%291M
86.03%-19M
10.53%189M
46.90%-505M
25.86%-986M
-8.04%446M
Operating gains losses
-91.10%13M
-251.52%-116M
75.26%340M
47.89%105M
183.72%122M
247.62%146M
-186.84%-33M
-88.62%194M
-95.86%71M
213.16%43M
Depreciation and amortization
11.19%308M
14.29%312M
7.12%1.13B
15.42%292M
7.52%286M
4.92%277M
1.11%273M
-0.28%1.05B
-3.07%253M
3.50%266M
Deferred tax
62.04%-41M
2,118.18%222M
-1,450.00%-54M
1,100.00%48M
-60.47%17M
-200.00%-108M
-57.14%-11M
100.99%4M
101.22%4M
1,175.00%43M
Other non cash items
-6,650.00%-131M
16.85%104M
26.27%149M
-100.84%-1M
303.45%59M
107.69%2M
64.81%89M
326.92%118M
417.39%119M
-1,350.00%-29M
Change In working capital
-20.00%28M
-6,833.33%-606M
207.27%310M
-52.68%150M
200.87%116M
111.55%35M
104.79%9M
78.78%-289M
314.19%317M
-210.81%-115M
-Change in receivables
-105.74%-7M
-274.19%-232M
130.26%161M
217.89%145M
70.07%-44M
165.95%122M
19.48%-62M
-212.94%-532M
-136.54%-123M
-7,450.00%-147M
-Change in inventory
-148.24%-41M
-62.30%72M
173.38%306M
194.64%53M
82.84%-23M
146.45%85M
534.09%191M
-348.39%-417M
-143.48%-56M
-74.03%-134M
-Change in prepaid assets
1,242.86%94M
-39.06%39M
195.00%38M
-150.00%-38M
-92.96%5M
102.85%7M
8.47%64M
76.19%-40M
157.58%76M
408.70%71M
-Change in payables and accrued expense
-135.56%-212M
-37.33%-412M
-157.52%-241M
-97.06%13M
326.67%136M
-158.44%-90M
-156.41%-300M
180.27%419M
301.82%442M
-160.61%-60M
-Change in other current assets
475.00%138M
-282.00%-91M
-98.85%5M
-95.05%9M
-149.68%-78M
-76.92%24M
600.00%50M
251.93%433M
158.71%182M
823.53%157M
-Change in other current liabilities
185.87%79M
-111.11%-5M
123.24%43M
110.58%20M
677.78%70M
-2,400.00%-92M
600.00%45M
-197.37%-185M
-188.73%-189M
550.00%9M
-Change in other working capital
----
9.52%23M
-106.06%-2M
-246.67%-52M
----
----
110.00%21M
110.51%33M
-132.61%-15M
79.25%-11M
Cash from discontinued investing activities
Operating cash flow
-30.25%392M
-54.08%287M
11.75%3.03B
-31.99%725M
43.11%1.12B
37.75%562M
36.76%625M
42.74%2.72B
103.82%1.07B
1.16%784M
Investing cash flow
Cash flow from continuing investing activities
13.55%-1.84B
-46.92%-2.39B
-40.30%-8.19B
-25.06%-2.52B
-54.83%-1.92B
-48.67%-2.13B
-40.85%-1.62B
-91.28%-5.84B
-52.00%-2.01B
-113.04%-1.24B
Capital expenditure reported
8.67%-1.69B
-38.49%-2.15B
-69.72%-7.72B
-32.01%-2.43B
-80.51%-1.9B
-106.61%-1.85B
-102.48%-1.55B
-115.08%-4.55B
-216.15%-1.84B
-96.64%-1.05B
Net business purchase and sale
88.22%-45M
-185.90%-67M
1.69%-466M
33.33%-106M
-40.00%-56M
-108.74%-382M
184.78%78M
52.12%-474M
76.16%-159M
68.50%-40M
Net investment purchase and sale
-145.27%-67M
95.16%-3M
186.00%381M
2,483.33%143M
272.73%152M
173.63%148M
58.11%-62M
-556.70%-443M
89.29%-6M
-192.63%-88M
Net other investing changes
12.77%-41M
-88.76%-168M
-2.99%-379M
-1,950.00%-123M
-93.55%-120M
69.28%-47M
39.46%-89M
-776.19%-368M
66.67%-6M
-287.50%-62M
Cash from discontinued investing activities
Investing cash flow
13.55%-1.84B
-46.92%-2.39B
-40.30%-8.19B
-25.06%-2.52B
-54.83%-1.92B
-48.67%-2.13B
-40.85%-1.62B
-91.28%-5.84B
-52.00%-2.01B
-113.04%-1.24B
Financing cash flow
Cash flow from continuing financing activities
-23.79%1.15B
156.50%2.61B
43.83%5.41B
86.03%1.67B
28.97%1.21B
36.80%1.51B
24.21%1.02B
371.52%3.76B
224.28%895M
683.23%939M
Net issuance payments of debt
-26.16%1.18B
120.73%2.61B
-1.23%4.11B
-76.40%168M
23.36%1.17B
46.24%1.59B
-16.41%1.18B
8,060.78%4.16B
265.13%712M
3,162.07%946M
Net preferred stock issuance
----
----
601.67%421M
--418M
----
----
----
-94.86%60M
--0
--0
Cash dividends paid
-9.91%-122M
-4.50%-116M
-5.21%-444M
-4.72%-111M
-5.71%-111M
-4.72%-111M
-5.71%-111M
-5.24%-422M
-6.00%-106M
-3.96%-105M
Net other financing activities
226.67%98M
305.45%113M
3,235.71%1.32B
311.76%1.19B
55.10%152M
-75.41%30M
90.02%-55M
-110.00%-42M
61.45%289M
211.36%98M
Cash from discontinued financing activities
Financing cash flow
-23.79%1.15B
156.50%2.61B
43.83%5.41B
86.03%1.67B
28.97%1.21B
36.80%1.51B
24.21%1.02B
371.52%3.76B
224.28%895M
683.23%939M
Net cash flow
Beginning cash position
23.01%2.56B
-4.65%1.99B
40.63%2.09B
14.80%2.34B
21.74%2.01B
32.97%2.08B
40.63%2.09B
-18.77%1.48B
3.04%2.03B
-18.51%1.65B
Current changes in cash
-689.58%-379M
7,150.00%580M
-73.75%173M
-381.54%-183M
-3.18%396M
-137.80%-48M
-86.21%8M
321.89%659M
113.86%65M
1,419.35%409M
Effect of exchange rate changes
-47.37%-28M
16.67%-15M
-382.14%-270M
-1,250.00%-162M
-173.08%-71M
50.00%-19M
-190.00%-18M
-21.74%-56M
42.86%-12M
-23.81%-26M
End cash Position
6.87%2.15B
23.01%2.56B
-4.65%1.99B
-4.65%1.99B
14.80%2.34B
21.74%2.01B
32.97%2.08B
40.63%2.09B
40.63%2.09B
3.04%2.03B
Free cash flow
-0.78%-1.29B
-100.97%-1.86B
-155.45%-4.69B
-120.16%-1.7B
-189.93%-777M
-164.54%-1.28B
-199.68%-926M
-757.94%-1.84B
-1,211.86%-774M
-211.67%-268M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -30.25%392M-54.08%287M11.75%3.03B-31.99%725M43.11%1.12B37.75%562M36.76%625M42.74%2.72B103.82%1.07B1.16%784M
Net income from continuing operations -105.26%-39M47.09%278M63.96%-182M34.79%-643M-34.75%291M86.03%-19M10.53%189M46.90%-505M25.86%-986M-8.04%446M
Operating gains losses -91.10%13M-251.52%-116M75.26%340M47.89%105M183.72%122M247.62%146M-186.84%-33M-88.62%194M-95.86%71M213.16%43M
Depreciation and amortization 11.19%308M14.29%312M7.12%1.13B15.42%292M7.52%286M4.92%277M1.11%273M-0.28%1.05B-3.07%253M3.50%266M
Deferred tax 62.04%-41M2,118.18%222M-1,450.00%-54M1,100.00%48M-60.47%17M-200.00%-108M-57.14%-11M100.99%4M101.22%4M1,175.00%43M
Other non cash items -6,650.00%-131M16.85%104M26.27%149M-100.84%-1M303.45%59M107.69%2M64.81%89M326.92%118M417.39%119M-1,350.00%-29M
Change In working capital -20.00%28M-6,833.33%-606M207.27%310M-52.68%150M200.87%116M111.55%35M104.79%9M78.78%-289M314.19%317M-210.81%-115M
-Change in receivables -105.74%-7M-274.19%-232M130.26%161M217.89%145M70.07%-44M165.95%122M19.48%-62M-212.94%-532M-136.54%-123M-7,450.00%-147M
-Change in inventory -148.24%-41M-62.30%72M173.38%306M194.64%53M82.84%-23M146.45%85M534.09%191M-348.39%-417M-143.48%-56M-74.03%-134M
-Change in prepaid assets 1,242.86%94M-39.06%39M195.00%38M-150.00%-38M-92.96%5M102.85%7M8.47%64M76.19%-40M157.58%76M408.70%71M
-Change in payables and accrued expense -135.56%-212M-37.33%-412M-157.52%-241M-97.06%13M326.67%136M-158.44%-90M-156.41%-300M180.27%419M301.82%442M-160.61%-60M
-Change in other current assets 475.00%138M-282.00%-91M-98.85%5M-95.05%9M-149.68%-78M-76.92%24M600.00%50M251.93%433M158.71%182M823.53%157M
-Change in other current liabilities 185.87%79M-111.11%-5M123.24%43M110.58%20M677.78%70M-2,400.00%-92M600.00%45M-197.37%-185M-188.73%-189M550.00%9M
-Change in other working capital ----9.52%23M-106.06%-2M-246.67%-52M--------110.00%21M110.51%33M-132.61%-15M79.25%-11M
Cash from discontinued investing activities
Operating cash flow -30.25%392M-54.08%287M11.75%3.03B-31.99%725M43.11%1.12B37.75%562M36.76%625M42.74%2.72B103.82%1.07B1.16%784M
Investing cash flow
Cash flow from continuing investing activities 13.55%-1.84B-46.92%-2.39B-40.30%-8.19B-25.06%-2.52B-54.83%-1.92B-48.67%-2.13B-40.85%-1.62B-91.28%-5.84B-52.00%-2.01B-113.04%-1.24B
Capital expenditure reported 8.67%-1.69B-38.49%-2.15B-69.72%-7.72B-32.01%-2.43B-80.51%-1.9B-106.61%-1.85B-102.48%-1.55B-115.08%-4.55B-216.15%-1.84B-96.64%-1.05B
Net business purchase and sale 88.22%-45M-185.90%-67M1.69%-466M33.33%-106M-40.00%-56M-108.74%-382M184.78%78M52.12%-474M76.16%-159M68.50%-40M
Net investment purchase and sale -145.27%-67M95.16%-3M186.00%381M2,483.33%143M272.73%152M173.63%148M58.11%-62M-556.70%-443M89.29%-6M-192.63%-88M
Net other investing changes 12.77%-41M-88.76%-168M-2.99%-379M-1,950.00%-123M-93.55%-120M69.28%-47M39.46%-89M-776.19%-368M66.67%-6M-287.50%-62M
Cash from discontinued investing activities
Investing cash flow 13.55%-1.84B-46.92%-2.39B-40.30%-8.19B-25.06%-2.52B-54.83%-1.92B-48.67%-2.13B-40.85%-1.62B-91.28%-5.84B-52.00%-2.01B-113.04%-1.24B
Financing cash flow
Cash flow from continuing financing activities -23.79%1.15B156.50%2.61B43.83%5.41B86.03%1.67B28.97%1.21B36.80%1.51B24.21%1.02B371.52%3.76B224.28%895M683.23%939M
Net issuance payments of debt -26.16%1.18B120.73%2.61B-1.23%4.11B-76.40%168M23.36%1.17B46.24%1.59B-16.41%1.18B8,060.78%4.16B265.13%712M3,162.07%946M
Net preferred stock issuance --------601.67%421M--418M-------------94.86%60M--0--0
Cash dividends paid -9.91%-122M-4.50%-116M-5.21%-444M-4.72%-111M-5.71%-111M-4.72%-111M-5.71%-111M-5.24%-422M-6.00%-106M-3.96%-105M
Net other financing activities 226.67%98M305.45%113M3,235.71%1.32B311.76%1.19B55.10%152M-75.41%30M90.02%-55M-110.00%-42M61.45%289M211.36%98M
Cash from discontinued financing activities
Financing cash flow -23.79%1.15B156.50%2.61B43.83%5.41B86.03%1.67B28.97%1.21B36.80%1.51B24.21%1.02B371.52%3.76B224.28%895M683.23%939M
Net cash flow
Beginning cash position 23.01%2.56B-4.65%1.99B40.63%2.09B14.80%2.34B21.74%2.01B32.97%2.08B40.63%2.09B-18.77%1.48B3.04%2.03B-18.51%1.65B
Current changes in cash -689.58%-379M7,150.00%580M-73.75%173M-381.54%-183M-3.18%396M-137.80%-48M-86.21%8M321.89%659M113.86%65M1,419.35%409M
Effect of exchange rate changes -47.37%-28M16.67%-15M-382.14%-270M-1,250.00%-162M-173.08%-71M50.00%-19M-190.00%-18M-21.74%-56M42.86%-12M-23.81%-26M
End cash Position 6.87%2.15B23.01%2.56B-4.65%1.99B-4.65%1.99B14.80%2.34B21.74%2.01B32.97%2.08B40.63%2.09B40.63%2.09B3.04%2.03B
Free cash flow -0.78%-1.29B-100.97%-1.86B-155.45%-4.69B-120.16%-1.7B-189.93%-777M-164.54%-1.28B-199.68%-926M-757.94%-1.84B-1,211.86%-774M-211.67%-268M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

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