US Stock MarketDetailed Quotes

NRG NRG Energy

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  • 91.220
  • +0.640+0.71%
Close Sep 27 16:00 ET
  • 90.900
  • -0.320-0.35%
Post 20:02 ET
18.83BMarket Cap10.00P/E (TTM)

NRG 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
Assets
Current assets
Cash, cash equivalents and short term investments
-10.90%376M
-31.70%278M
25.81%541M
25.81%541M
20.42%401M
-27.24%422M
5.17%407M
72.00%430M
72.00%430M
28.57%333M
-Cash and cash equivalents
-10.90%376M
-31.70%278M
25.81%541M
25.81%541M
20.42%401M
-27.24%422M
5.17%407M
72.00%430M
72.00%430M
28.57%333M
Receivables
3.91%3.4B
-5.51%3.33B
-25.79%3.54B
-25.79%3.54B
-7.34%3.76B
-15.23%3.27B
-11.58%3.52B
21.33%4.77B
21.33%4.77B
31.17%4.06B
-Accounts receivable
3.91%3.4B
-5.51%3.33B
-25.79%3.54B
-25.79%3.54B
-7.34%3.76B
-15.23%3.27B
6.93%3.52B
47.09%4.77B
47.09%4.77B
31.17%4.06B
Inventory
-9.18%623M
-19.53%581M
-19.17%607M
-19.17%607M
-18.39%630M
13.58%686M
103.95%722M
50.80%751M
50.80%751M
73.48%772M
Restricted cash
64.60%1.09B
-13.74%565M
-72.66%549M
-72.66%549M
-91.98%276M
-84.66%661M
-74.98%655M
74.46%2.01B
74.46%2.01B
93.05%3.44B
Other current assets
37.41%797M
40.99%712M
63.45%626M
63.45%626M
44.12%601M
23.40%580M
23.47%505M
-3.04%383M
-3.04%383M
-9.54%417M
Total current assets
-3.11%9.81B
-9.21%9.27B
-40.07%9.73B
-40.07%9.73B
-50.08%9.47B
-52.14%10.12B
-39.37%10.21B
49.72%16.23B
49.72%16.23B
30.13%18.96B
Non current assets
Net PPE
3.32%1.99B
-6.48%1.95B
1.30%1.94B
1.30%1.94B
8.23%1.99B
5.01%1.93B
9.64%2.08B
-2.14%1.92B
-2.14%1.92B
-19.17%1.83B
-Gross PPE
4.06%3.41B
-8.36%3.3B
-4.65%3.24B
-4.65%3.24B
2.58%3.38B
1.74%3.28B
8.50%3.6B
3.92%3.4B
3.92%3.4B
-13.69%3.29B
-Accumulated depreciation
-5.11%-1.42B
10.94%-1.35B
12.38%-1.3B
12.38%-1.3B
4.53%-1.39B
2.60%-1.35B
-6.98%-1.52B
-13.00%-1.48B
-13.00%-1.48B
5.64%-1.46B
Goodwill and other intangible assets
-10.68%8.47B
-9.83%8.8B
138.13%9.01B
138.13%9.01B
141.14%9.35B
130.97%9.49B
133.15%9.76B
-12.17%3.78B
-12.17%3.78B
-17.79%3.88B
-Goodwill
-1.61%5.06B
-5.00%5.08B
207.82%5.08B
207.82%5.08B
211.70%5.14B
210.38%5.14B
197.49%5.34B
-8.08%1.65B
-8.08%1.65B
-8.38%1.65B
-Other intangible assets
-21.41%3.41B
-15.68%3.73B
84.19%3.93B
84.19%3.93B
88.86%4.21B
77.27%4.34B
84.82%4.42B
-15.09%2.13B
-15.09%2.13B
-23.60%2.23B
Investments and advances
-67.63%45M
-95.76%43M
-95.67%42M
-95.67%42M
-84.04%146M
-85.57%139M
-7.73%1.02B
-16.65%971M
-16.65%971M
-18.59%915M
Financial assets
-9.79%2.63B
-28.39%2.4B
-44.18%2.29B
-44.18%2.29B
-48.51%2.53B
-36.02%2.91B
-5.93%3.35B
62.56%4.11B
62.56%4.11B
83.98%4.91B
Non current deferred assets
-32.09%1.84B
-28.21%2.1B
19.67%2.25B
19.67%2.25B
67.55%2.54B
80.61%2.71B
78.57%2.93B
-12.71%1.88B
-12.71%1.88B
-23.97%1.52B
Other non current assets
-42.19%981M
137.85%842M
203.52%777M
203.52%777M
744.64%1.89B
628.33%1.7B
38.82%354M
11.79%256M
11.79%256M
-63.81%224M
Total non current assets
-15.44%15.96B
-17.22%16.13B
26.30%16.31B
26.30%16.31B
38.87%18.44B
43.10%18.87B
54.18%19.49B
4.65%12.92B
4.65%12.92B
-0.84%13.28B
Total assets
-11.14%25.76B
-14.46%25.4B
-10.66%26.04B
-10.66%26.04B
-13.44%27.91B
-15.56%28.99B
0.74%29.7B
25.73%29.15B
25.73%29.15B
15.30%32.24B
Liabilities
Current liabilities
Payables
0.09%2.11B
-13.00%2.03B
-36.18%2.33B
-36.18%2.33B
-23.37%2.2B
-28.16%2.11B
5.14%2.33B
60.20%3.64B
60.20%3.64B
45.96%2.87B
-accounts payable
0.09%2.11B
-13.00%2.03B
-36.18%2.33B
-36.18%2.33B
-23.37%2.2B
-28.16%2.11B
5.14%2.33B
60.20%3.64B
60.20%3.64B
45.96%2.87B
Current accrued expenses
22.51%1.71B
-9.66%1.41B
47.40%1.64B
47.40%1.64B
12.86%1.55B
0.36%1.4B
21.63%1.56B
-15.86%1.11B
-15.86%1.11B
-18.05%1.38B
Current debt and capital lease obligation
-74.96%353M
12.21%1.2B
386.30%710M
386.30%710M
602.08%1.01B
879.17%1.41B
1,138.37%1.07B
71.76%146M
71.76%146M
-75.30%144M
-Current debt
-80.14%262M
13.39%1.1B
884.13%620M
884.13%620M
1,383.87%920M
2,027.42%1.32B
24,175.00%971M
1,475.00%63M
1,475.00%63M
-87.70%62M
-Current capital lease obligation
0.00%91M
0.00%94M
8.43%90M
8.43%90M
10.98%91M
10.98%91M
14.63%94M
2.47%83M
2.47%83M
3.80%82M
Current deferred liabilities
6.57%779M
3.20%710M
309.09%720M
309.09%720M
--731M
--731M
--688M
--176M
--176M
----
Other current liabilities
-20.81%3.35B
-18.12%3.83B
-48.08%4.1B
-48.08%4.1B
-65.56%3.44B
-64.64%4.23B
-45.87%4.68B
86.74%7.9B
86.74%7.9B
28.21%9.98B
Current liabilities
-15.94%8.3B
-11.14%9.18B
-26.82%9.5B
-26.82%9.5B
-37.84%8.93B
-39.92%9.88B
-15.59%10.33B
64.02%12.98B
64.02%12.98B
19.63%14.37B
Non current liabilities
Long term provisions
----
----
----
----
----
----
-7.44%858M
-17.22%817M
-17.22%817M
-17.86%768M
Long term debt and capital lease obligation
-3.05%10.57B
-16.00%9.68B
25.81%10.26B
25.81%10.26B
33.26%10.89B
33.42%10.9B
39.80%11.53B
-0.56%8.16B
-0.56%8.16B
-0.52%8.17B
-Long term debt
-2.91%10.43B
-15.65%9.56B
27.04%10.13B
27.04%10.13B
34.70%10.74B
34.72%10.74B
41.19%11.33B
0.13%7.98B
0.13%7.98B
0.21%7.97B
-Long term capital lease obligation
-12.73%144M
-36.73%124M
-28.89%128M
-28.89%128M
-24.87%148M
-17.91%165M
-10.91%196M
-23.73%180M
-23.73%180M
-23.35%197M
Non current deferred liabilities
-13.53%914M
-11.62%867M
550.00%936M
550.00%936M
1,230.95%1.12B
1,388.73%1.06B
1,342.65%981M
97.26%144M
97.26%144M
13.51%84M
Derivative product liabilities
-24.03%1.44B
-23.98%1.44B
-33.75%1.49B
-33.75%1.49B
-44.61%1.55B
-26.35%1.89B
-4.25%1.89B
59.07%2.25B
59.07%2.25B
88.18%2.8B
Other non current liabilities
-6.98%919M
-8.83%939M
-2.67%947M
-2.67%947M
5.97%977M
1.23%988M
3.41%1.03B
-2.01%973M
-2.01%973M
-20.93%922M
Total non current liabilities
-12.33%13.84B
-20.64%12.93B
10.51%13.63B
10.51%13.63B
21.30%15.46B
25.28%15.78B
33.37%16.29B
5.73%12.34B
5.73%12.34B
7.32%12.75B
Total liabilities
-13.72%22.14B
-16.95%22.1B
-8.63%23.13B
-8.63%23.13B
-10.04%24.39B
-11.63%25.66B
8.87%26.62B
29.29%25.32B
29.29%25.32B
13.51%27.11B
Shareholders'equity
Share capital
-0.15%653M
-0.15%653M
16,225.00%653M
16,225.00%653M
16,250.00%654M
16,250.00%654M
16,250.00%654M
0.00%4M
0.00%4M
0.00%4M
-common stock
-25.00%3M
-25.00%3M
-25.00%3M
-25.00%3M
0.00%4M
0.00%4M
0.00%4M
0.00%4M
0.00%4M
0.00%4M
-Preferred stock
0.00%650M
0.00%650M
--650M
--650M
--650M
--650M
--650M
--0
--0
----
Retained earnings
808.78%1.86B
8,180.00%1.21B
-41.76%820M
-41.76%820M
-83.55%425M
-92.12%205M
-100.69%-15M
203.45%1.41B
203.45%1.41B
166.12%2.58B
Paid-in capital
-62.03%3.23B
-58.70%3.5B
-59.61%3.42B
-59.61%3.42B
0.91%8.53B
0.73%8.5B
0.57%8.48B
-0.87%8.46B
-0.87%8.46B
-0.88%8.45B
Less: Treasury stock
-65.55%2.02B
-66.39%1.97B
-67.74%1.89B
-67.74%1.89B
2.73%5.91B
4.18%5.86B
7.40%5.86B
11.21%5.86B
11.21%5.86B
10.02%5.75B
Gains losses not affecting retained earnings
39.41%-103M
43.18%-100M
48.59%-91M
48.59%-91M
-14.94%-177M
-41.67%-170M
-49.15%-176M
-40.48%-177M
-40.48%-177M
19.79%-154M
Total stockholders'equity
8.73%3.62B
7.05%3.3B
-24.09%2.91B
-24.09%2.91B
-31.42%3.52B
-37.13%3.33B
-38.77%3.08B
6.33%3.83B
6.33%3.83B
25.80%5.13B
Total equity
8.73%3.62B
7.05%3.3B
-24.09%2.91B
-24.09%2.91B
-31.42%3.52B
-37.13%3.33B
-38.77%3.08B
6.33%3.83B
6.33%3.83B
25.80%5.13B
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
Assets
Current assets
Cash, cash equivalents and short term investments -10.90%376M-31.70%278M25.81%541M25.81%541M20.42%401M-27.24%422M5.17%407M72.00%430M72.00%430M28.57%333M
-Cash and cash equivalents -10.90%376M-31.70%278M25.81%541M25.81%541M20.42%401M-27.24%422M5.17%407M72.00%430M72.00%430M28.57%333M
Receivables 3.91%3.4B-5.51%3.33B-25.79%3.54B-25.79%3.54B-7.34%3.76B-15.23%3.27B-11.58%3.52B21.33%4.77B21.33%4.77B31.17%4.06B
-Accounts receivable 3.91%3.4B-5.51%3.33B-25.79%3.54B-25.79%3.54B-7.34%3.76B-15.23%3.27B6.93%3.52B47.09%4.77B47.09%4.77B31.17%4.06B
Inventory -9.18%623M-19.53%581M-19.17%607M-19.17%607M-18.39%630M13.58%686M103.95%722M50.80%751M50.80%751M73.48%772M
Restricted cash 64.60%1.09B-13.74%565M-72.66%549M-72.66%549M-91.98%276M-84.66%661M-74.98%655M74.46%2.01B74.46%2.01B93.05%3.44B
Other current assets 37.41%797M40.99%712M63.45%626M63.45%626M44.12%601M23.40%580M23.47%505M-3.04%383M-3.04%383M-9.54%417M
Total current assets -3.11%9.81B-9.21%9.27B-40.07%9.73B-40.07%9.73B-50.08%9.47B-52.14%10.12B-39.37%10.21B49.72%16.23B49.72%16.23B30.13%18.96B
Non current assets
Net PPE 3.32%1.99B-6.48%1.95B1.30%1.94B1.30%1.94B8.23%1.99B5.01%1.93B9.64%2.08B-2.14%1.92B-2.14%1.92B-19.17%1.83B
-Gross PPE 4.06%3.41B-8.36%3.3B-4.65%3.24B-4.65%3.24B2.58%3.38B1.74%3.28B8.50%3.6B3.92%3.4B3.92%3.4B-13.69%3.29B
-Accumulated depreciation -5.11%-1.42B10.94%-1.35B12.38%-1.3B12.38%-1.3B4.53%-1.39B2.60%-1.35B-6.98%-1.52B-13.00%-1.48B-13.00%-1.48B5.64%-1.46B
Goodwill and other intangible assets -10.68%8.47B-9.83%8.8B138.13%9.01B138.13%9.01B141.14%9.35B130.97%9.49B133.15%9.76B-12.17%3.78B-12.17%3.78B-17.79%3.88B
-Goodwill -1.61%5.06B-5.00%5.08B207.82%5.08B207.82%5.08B211.70%5.14B210.38%5.14B197.49%5.34B-8.08%1.65B-8.08%1.65B-8.38%1.65B
-Other intangible assets -21.41%3.41B-15.68%3.73B84.19%3.93B84.19%3.93B88.86%4.21B77.27%4.34B84.82%4.42B-15.09%2.13B-15.09%2.13B-23.60%2.23B
Investments and advances -67.63%45M-95.76%43M-95.67%42M-95.67%42M-84.04%146M-85.57%139M-7.73%1.02B-16.65%971M-16.65%971M-18.59%915M
Financial assets -9.79%2.63B-28.39%2.4B-44.18%2.29B-44.18%2.29B-48.51%2.53B-36.02%2.91B-5.93%3.35B62.56%4.11B62.56%4.11B83.98%4.91B
Non current deferred assets -32.09%1.84B-28.21%2.1B19.67%2.25B19.67%2.25B67.55%2.54B80.61%2.71B78.57%2.93B-12.71%1.88B-12.71%1.88B-23.97%1.52B
Other non current assets -42.19%981M137.85%842M203.52%777M203.52%777M744.64%1.89B628.33%1.7B38.82%354M11.79%256M11.79%256M-63.81%224M
Total non current assets -15.44%15.96B-17.22%16.13B26.30%16.31B26.30%16.31B38.87%18.44B43.10%18.87B54.18%19.49B4.65%12.92B4.65%12.92B-0.84%13.28B
Total assets -11.14%25.76B-14.46%25.4B-10.66%26.04B-10.66%26.04B-13.44%27.91B-15.56%28.99B0.74%29.7B25.73%29.15B25.73%29.15B15.30%32.24B
Liabilities
Current liabilities
Payables 0.09%2.11B-13.00%2.03B-36.18%2.33B-36.18%2.33B-23.37%2.2B-28.16%2.11B5.14%2.33B60.20%3.64B60.20%3.64B45.96%2.87B
-accounts payable 0.09%2.11B-13.00%2.03B-36.18%2.33B-36.18%2.33B-23.37%2.2B-28.16%2.11B5.14%2.33B60.20%3.64B60.20%3.64B45.96%2.87B
Current accrued expenses 22.51%1.71B-9.66%1.41B47.40%1.64B47.40%1.64B12.86%1.55B0.36%1.4B21.63%1.56B-15.86%1.11B-15.86%1.11B-18.05%1.38B
Current debt and capital lease obligation -74.96%353M12.21%1.2B386.30%710M386.30%710M602.08%1.01B879.17%1.41B1,138.37%1.07B71.76%146M71.76%146M-75.30%144M
-Current debt -80.14%262M13.39%1.1B884.13%620M884.13%620M1,383.87%920M2,027.42%1.32B24,175.00%971M1,475.00%63M1,475.00%63M-87.70%62M
-Current capital lease obligation 0.00%91M0.00%94M8.43%90M8.43%90M10.98%91M10.98%91M14.63%94M2.47%83M2.47%83M3.80%82M
Current deferred liabilities 6.57%779M3.20%710M309.09%720M309.09%720M--731M--731M--688M--176M--176M----
Other current liabilities -20.81%3.35B-18.12%3.83B-48.08%4.1B-48.08%4.1B-65.56%3.44B-64.64%4.23B-45.87%4.68B86.74%7.9B86.74%7.9B28.21%9.98B
Current liabilities -15.94%8.3B-11.14%9.18B-26.82%9.5B-26.82%9.5B-37.84%8.93B-39.92%9.88B-15.59%10.33B64.02%12.98B64.02%12.98B19.63%14.37B
Non current liabilities
Long term provisions -------------------------7.44%858M-17.22%817M-17.22%817M-17.86%768M
Long term debt and capital lease obligation -3.05%10.57B-16.00%9.68B25.81%10.26B25.81%10.26B33.26%10.89B33.42%10.9B39.80%11.53B-0.56%8.16B-0.56%8.16B-0.52%8.17B
-Long term debt -2.91%10.43B-15.65%9.56B27.04%10.13B27.04%10.13B34.70%10.74B34.72%10.74B41.19%11.33B0.13%7.98B0.13%7.98B0.21%7.97B
-Long term capital lease obligation -12.73%144M-36.73%124M-28.89%128M-28.89%128M-24.87%148M-17.91%165M-10.91%196M-23.73%180M-23.73%180M-23.35%197M
Non current deferred liabilities -13.53%914M-11.62%867M550.00%936M550.00%936M1,230.95%1.12B1,388.73%1.06B1,342.65%981M97.26%144M97.26%144M13.51%84M
Derivative product liabilities -24.03%1.44B-23.98%1.44B-33.75%1.49B-33.75%1.49B-44.61%1.55B-26.35%1.89B-4.25%1.89B59.07%2.25B59.07%2.25B88.18%2.8B
Other non current liabilities -6.98%919M-8.83%939M-2.67%947M-2.67%947M5.97%977M1.23%988M3.41%1.03B-2.01%973M-2.01%973M-20.93%922M
Total non current liabilities -12.33%13.84B-20.64%12.93B10.51%13.63B10.51%13.63B21.30%15.46B25.28%15.78B33.37%16.29B5.73%12.34B5.73%12.34B7.32%12.75B
Total liabilities -13.72%22.14B-16.95%22.1B-8.63%23.13B-8.63%23.13B-10.04%24.39B-11.63%25.66B8.87%26.62B29.29%25.32B29.29%25.32B13.51%27.11B
Shareholders'equity
Share capital -0.15%653M-0.15%653M16,225.00%653M16,225.00%653M16,250.00%654M16,250.00%654M16,250.00%654M0.00%4M0.00%4M0.00%4M
-common stock -25.00%3M-25.00%3M-25.00%3M-25.00%3M0.00%4M0.00%4M0.00%4M0.00%4M0.00%4M0.00%4M
-Preferred stock 0.00%650M0.00%650M--650M--650M--650M--650M--650M--0--0----
Retained earnings 808.78%1.86B8,180.00%1.21B-41.76%820M-41.76%820M-83.55%425M-92.12%205M-100.69%-15M203.45%1.41B203.45%1.41B166.12%2.58B
Paid-in capital -62.03%3.23B-58.70%3.5B-59.61%3.42B-59.61%3.42B0.91%8.53B0.73%8.5B0.57%8.48B-0.87%8.46B-0.87%8.46B-0.88%8.45B
Less: Treasury stock -65.55%2.02B-66.39%1.97B-67.74%1.89B-67.74%1.89B2.73%5.91B4.18%5.86B7.40%5.86B11.21%5.86B11.21%5.86B10.02%5.75B
Gains losses not affecting retained earnings 39.41%-103M43.18%-100M48.59%-91M48.59%-91M-14.94%-177M-41.67%-170M-49.15%-176M-40.48%-177M-40.48%-177M19.79%-154M
Total stockholders'equity 8.73%3.62B7.05%3.3B-24.09%2.91B-24.09%2.91B-31.42%3.52B-37.13%3.33B-38.77%3.08B6.33%3.83B6.33%3.83B25.80%5.13B
Total equity 8.73%3.62B7.05%3.3B-24.09%2.91B-24.09%2.91B-31.42%3.52B-37.13%3.33B-38.77%3.08B6.33%3.83B6.33%3.83B25.80%5.13B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

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