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NEE NextEra Energy

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  • 79.660
  • +0.740+0.94%
Close Aug 23 16:00 ET
  • 79.500
  • -0.160-0.20%
Post 20:02 ET
163.73BMarket Cap25.95P/E (TTM)

NextEra Energy 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
27.45%3.93B
83.92%3.08B
36.78%11.3B
189.25%2.88B
48.10%3.66B
9.01%3.09B
-14.73%1.67B
9.39%8.26B
-24.45%995M
-9.74%2.47B
Net income from continuing operations
-49.45%1.3B
8.52%1.94B
93.53%6.28B
-27.78%915M
-34.70%1.02B
130.37%2.56B
357.58%1.79B
14.82%3.25B
32.95%1.27B
412.83%1.56B
Operating gains losses
112.18%213M
7.64%-653M
-470.79%-1.74B
111.99%100M
237.72%617M
-536.00%-1.75B
-134.90%-707M
-57.32%469M
-58.25%-834M
-141.75%-448M
Depreciation and amortization
-5.16%1.47B
10.64%988M
28.41%6.15B
34.80%1.68B
49.41%2.03B
26.41%1.55B
-6.98%893M
13.67%4.79B
18.54%1.25B
4.47%1.36B
Deferred tax
-20.28%224M
14.04%398M
32.58%708M
-25.77%242M
-153.77%-164M
438.55%281M
2,592.86%349M
22.48%534M
10.14%326M
664.81%305M
Other non cash items
-10.54%348M
246.26%215M
133.73%739M
106.54%55M
156.45%442M
163.88%389M
-450.00%-147M
-175.25%-2.19B
-153.31%-841M
-408.44%-783M
Change In working capital
351.65%229M
103.07%22M
-438.11%-1.39B
29.23%-138M
-315.94%-447M
-110.35%-91M
-49.69%-717M
184.77%412M
-51.16%-195M
97.14%207M
-Change in other current assets
-11.05%-764M
-69.55%328M
75.51%-350M
248.80%186M
-853.61%-925M
31.27%-688M
622.82%1.08B
10.18%-1.43B
-160.42%-125M
86.66%-97M
-Change in other current liabilities
66.33%993M
82.94%-306M
-156.65%-1.04B
-362.86%-324M
57.24%478M
-68.24%597M
-557.14%-1.79B
66.61%1.84B
13.58%-70M
-63.46%304M
Cash from discontinued investing activities
Operating cash flow
27.45%3.93B
83.92%3.08B
36.78%11.3B
189.25%2.88B
48.10%3.66B
9.01%3.09B
-14.73%1.67B
9.39%8.26B
-24.45%995M
-9.74%2.47B
Investing cash flow
Cash flow from continuing investing activities
3.84%-4.81B
-19.24%-9.32B
-27.82%-23.47B
-3.99%-4.69B
-31.31%-5.96B
-8.28%-5B
-66.57%-7.82B
-35.08%-18.36B
-158.30%-4.51B
-23.26%-4.54B
Capital expenditure reported
16.48%-2.04B
-3.60%-2.33B
1.64%-9.36B
33.21%-2.04B
-31.13%-2.64B
-12.03%-2.44B
1.45%-2.25B
-26.00%-9.52B
-19.26%-3.05B
-16.35%-2.01B
Net PPE purchase and sale
-64.06%-105M
-197.87%-140M
17.04%-185M
50.00%-59M
60.53%-15M
-36.17%-64M
-135.00%-47M
18.91%-223M
-71.01%-118M
-15.15%-38M
Net business purchase and sale
----
----
--924M
----
----
----
----
--0
----
----
Net investment purchase and sale
0.72%-2.63B
-23.75%-6.81B
-69.23%-14.73B
-138.63%-3.41B
-31.80%-3.18B
-13.64%-2.65B
-116.75%-5.5B
-50.08%-8.71B
-262.57%-1.43B
-40.63%-2.41B
Net other investing changes
-120.51%-32M
-100.00%-48M
-223.60%-110M
----
----
364.41%156M
-116.67%-24M
122.50%89M
8,500.00%84M
61.35%-80M
Cash from discontinued investing activities
Investing cash flow
3.84%-4.81B
-19.24%-9.32B
-27.82%-23.47B
-3.99%-4.69B
-31.31%-5.96B
-8.28%-5B
-66.57%-7.82B
-35.08%-18.36B
-158.30%-4.51B
-23.26%-4.54B
Financing cash flow
Cash flow from continuing financing activities
59.41%762M
-26.88%5.04B
-0.65%12.15B
-18.22%2.45B
51.33%2.34B
-86.50%478M
65.90%6.89B
110.59%12.23B
303.64%2.99B
198.45%1.54B
Net issuance payments of debt
74.47%2.78B
18.86%6.76B
-20.42%8.19B
-509.09%-270M
-11.20%1.17B
-60.26%1.59B
16.36%5.69B
54.40%10.29B
113.92%66M
-35.54%1.32B
Net common stock issuance
-4,100.00%-40M
-99.76%6M
209.18%4.51B
350.00%9M
37.41%2B
--1M
250,100.00%2.5B
10,328.57%1.46B
-71.43%2M
72,750.00%1.46B
Cash dividends paid
-11.73%-1.06B
-13.76%-1.06B
-12.83%-3.78B
-13.49%-959M
-13.28%-947M
-13.29%-946M
-11.24%-930M
-10.85%-3.35B
-11.62%-845M
-10.58%-836M
Net other financing activities
-439.18%-922M
-81.13%-672M
-15.73%3.23B
-2.71%3.67B
126.50%106M
-146.72%-171M
-474.75%-371M
77.95%3.83B
91.76%3.77B
48.72%-400M
Cash from discontinued financing activities
Financing cash flow
59.41%762M
-26.88%5.04B
-0.65%12.15B
-18.22%2.45B
51.33%2.34B
-86.50%478M
65.90%6.89B
110.59%12.23B
303.64%2.99B
198.45%1.54B
Net cash flow
Beginning cash position
-47.17%2.21B
-0.61%3.42B
161.47%3.44B
-29.97%2.78B
-38.70%2.75B
52.99%4.19B
161.47%3.44B
-14.88%1.32B
295.12%3.97B
213.54%4.49B
Current changes in cash
92.32%-110M
-261.66%-1.21B
-100.80%-17M
220.99%634M
106.87%36M
-181.51%-1.43B
-47.54%746M
1,022.94%2.13B
-267.95%-524M
-23.00%-524M
Effect of exchange rate changes
50.00%-1M
-150.00%-1M
42.86%-4M
500.00%8M
-500.00%-12M
33.33%-2M
--2M
-800.00%-7M
---2M
33.33%-2M
End cash Position
-23.67%2.1B
-47.17%2.21B
-0.61%3.42B
-0.61%3.42B
-29.97%2.78B
-38.70%2.75B
52.99%4.19B
161.47%3.44B
161.47%3.44B
295.12%3.97B
Free cash flow
207.56%1.79B
198.07%609M
218.45%1.75B
136.13%784M
138.86%1.01B
-3.96%582M
-83.73%-621M
-434.30%-1.48B
-66.03%-2.17B
-56.81%422M
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
--
--
(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 27.45%3.93B83.92%3.08B36.78%11.3B189.25%2.88B48.10%3.66B9.01%3.09B-14.73%1.67B9.39%8.26B-24.45%995M-9.74%2.47B
Net income from continuing operations -49.45%1.3B8.52%1.94B93.53%6.28B-27.78%915M-34.70%1.02B130.37%2.56B357.58%1.79B14.82%3.25B32.95%1.27B412.83%1.56B
Operating gains losses 112.18%213M7.64%-653M-470.79%-1.74B111.99%100M237.72%617M-536.00%-1.75B-134.90%-707M-57.32%469M-58.25%-834M-141.75%-448M
Depreciation and amortization -5.16%1.47B10.64%988M28.41%6.15B34.80%1.68B49.41%2.03B26.41%1.55B-6.98%893M13.67%4.79B18.54%1.25B4.47%1.36B
Deferred tax -20.28%224M14.04%398M32.58%708M-25.77%242M-153.77%-164M438.55%281M2,592.86%349M22.48%534M10.14%326M664.81%305M
Other non cash items -10.54%348M246.26%215M133.73%739M106.54%55M156.45%442M163.88%389M-450.00%-147M-175.25%-2.19B-153.31%-841M-408.44%-783M
Change In working capital 351.65%229M103.07%22M-438.11%-1.39B29.23%-138M-315.94%-447M-110.35%-91M-49.69%-717M184.77%412M-51.16%-195M97.14%207M
-Change in other current assets -11.05%-764M-69.55%328M75.51%-350M248.80%186M-853.61%-925M31.27%-688M622.82%1.08B10.18%-1.43B-160.42%-125M86.66%-97M
-Change in other current liabilities 66.33%993M82.94%-306M-156.65%-1.04B-362.86%-324M57.24%478M-68.24%597M-557.14%-1.79B66.61%1.84B13.58%-70M-63.46%304M
Cash from discontinued investing activities
Operating cash flow 27.45%3.93B83.92%3.08B36.78%11.3B189.25%2.88B48.10%3.66B9.01%3.09B-14.73%1.67B9.39%8.26B-24.45%995M-9.74%2.47B
Investing cash flow
Cash flow from continuing investing activities 3.84%-4.81B-19.24%-9.32B-27.82%-23.47B-3.99%-4.69B-31.31%-5.96B-8.28%-5B-66.57%-7.82B-35.08%-18.36B-158.30%-4.51B-23.26%-4.54B
Capital expenditure reported 16.48%-2.04B-3.60%-2.33B1.64%-9.36B33.21%-2.04B-31.13%-2.64B-12.03%-2.44B1.45%-2.25B-26.00%-9.52B-19.26%-3.05B-16.35%-2.01B
Net PPE purchase and sale -64.06%-105M-197.87%-140M17.04%-185M50.00%-59M60.53%-15M-36.17%-64M-135.00%-47M18.91%-223M-71.01%-118M-15.15%-38M
Net business purchase and sale ----------924M------------------0--------
Net investment purchase and sale 0.72%-2.63B-23.75%-6.81B-69.23%-14.73B-138.63%-3.41B-31.80%-3.18B-13.64%-2.65B-116.75%-5.5B-50.08%-8.71B-262.57%-1.43B-40.63%-2.41B
Net other investing changes -120.51%-32M-100.00%-48M-223.60%-110M--------364.41%156M-116.67%-24M122.50%89M8,500.00%84M61.35%-80M
Cash from discontinued investing activities
Investing cash flow 3.84%-4.81B-19.24%-9.32B-27.82%-23.47B-3.99%-4.69B-31.31%-5.96B-8.28%-5B-66.57%-7.82B-35.08%-18.36B-158.30%-4.51B-23.26%-4.54B
Financing cash flow
Cash flow from continuing financing activities 59.41%762M-26.88%5.04B-0.65%12.15B-18.22%2.45B51.33%2.34B-86.50%478M65.90%6.89B110.59%12.23B303.64%2.99B198.45%1.54B
Net issuance payments of debt 74.47%2.78B18.86%6.76B-20.42%8.19B-509.09%-270M-11.20%1.17B-60.26%1.59B16.36%5.69B54.40%10.29B113.92%66M-35.54%1.32B
Net common stock issuance -4,100.00%-40M-99.76%6M209.18%4.51B350.00%9M37.41%2B--1M250,100.00%2.5B10,328.57%1.46B-71.43%2M72,750.00%1.46B
Cash dividends paid -11.73%-1.06B-13.76%-1.06B-12.83%-3.78B-13.49%-959M-13.28%-947M-13.29%-946M-11.24%-930M-10.85%-3.35B-11.62%-845M-10.58%-836M
Net other financing activities -439.18%-922M-81.13%-672M-15.73%3.23B-2.71%3.67B126.50%106M-146.72%-171M-474.75%-371M77.95%3.83B91.76%3.77B48.72%-400M
Cash from discontinued financing activities
Financing cash flow 59.41%762M-26.88%5.04B-0.65%12.15B-18.22%2.45B51.33%2.34B-86.50%478M65.90%6.89B110.59%12.23B303.64%2.99B198.45%1.54B
Net cash flow
Beginning cash position -47.17%2.21B-0.61%3.42B161.47%3.44B-29.97%2.78B-38.70%2.75B52.99%4.19B161.47%3.44B-14.88%1.32B295.12%3.97B213.54%4.49B
Current changes in cash 92.32%-110M-261.66%-1.21B-100.80%-17M220.99%634M106.87%36M-181.51%-1.43B-47.54%746M1,022.94%2.13B-267.95%-524M-23.00%-524M
Effect of exchange rate changes 50.00%-1M-150.00%-1M42.86%-4M500.00%8M-500.00%-12M33.33%-2M--2M-800.00%-7M---2M33.33%-2M
End cash Position -23.67%2.1B-47.17%2.21B-0.61%3.42B-0.61%3.42B-29.97%2.78B-38.70%2.75B52.99%4.19B161.47%3.44B161.47%3.44B295.12%3.97B
Free cash flow 207.56%1.79B198.07%609M218.45%1.75B136.13%784M138.86%1.01B-3.96%582M-83.73%-621M-434.30%-1.48B-66.03%-2.17B-56.81%422M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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