US Stock MarketDetailed Quotes

PAM Pampa Energia

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  • 48.080
  • +1.530+3.29%
Trading Jul 23 15:16 ET
2.61BMarket Cap10.49P/E (TTM)

Pampa Energia Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
350.10%722.7B
451.20%672.76B
451.20%672.76B
234.36%337.33B
215.65%223.4B
138.53%160.56B
107.43%122.05B
107.43%122.05B
101.76%100.89B
59.87%70.77B
-Cash and cash equivalents
552.43%171.58B
640.47%138.44B
640.47%138.44B
349.66%64.12B
286.35%50.73B
79.66%26.3B
65.51%18.7B
65.51%18.7B
-16.43%14.26B
9.91%13.13B
-Short-term investments
310.47%551.12B
416.97%534.32B
416.97%534.32B
215.38%273.22B
199.55%172.67B
154.89%134.27B
117.38%103.36B
117.38%103.36B
162.98%86.63B
78.33%57.64B
Receivables
271.28%373.81B
179.39%215.35B
179.39%215.35B
143.64%151.98B
95.41%116.31B
123.63%100.68B
110.24%77.08B
110.24%77.08B
30.41%62.38B
36.45%59.52B
-Accounts receivable
218.09%320.26B
214.53%169.2B
214.53%169.2B
149.19%127.64B
95.41%116.31B
123.63%100.68B
104.63%53.8B
104.63%53.8B
7.08%51.22B
92.74%59.52B
-Notes receivable
--2.57B
129.50%3.24B
129.50%3.24B
----
----
----
--1.41B
--1.41B
----
----
-Taxes receivable
--6.35B
227.86%8.1B
227.86%8.1B
422.03%2.46B
----
----
380.92%2.47B
380.92%2.47B
--472M
----
-Related party accounts receivable
--6.22B
359.00%5.67B
359.00%5.67B
277.73%3.63B
----
----
50.29%1.23B
50.29%1.23B
--961M
----
-Other receivables
--38.41B
60.43%29.14B
60.43%29.14B
87.64%18.25B
----
----
101.03%18.17B
101.03%18.17B
--9.73B
----
Inventory
354.13%182.07B
459.15%162.73B
459.15%162.73B
183.82%68.85B
121.56%47.65B
100.85%40.09B
92.79%29.1B
92.79%29.1B
70.80%24.26B
49.14%21.51B
Prepaid assets
--63.46B
255.96%30.76B
255.96%30.76B
86.86%11.18B
----
----
75.33%8.64B
75.33%8.64B
--5.98B
----
Total current assets
345.17%1.34T
356.61%1.08T
356.61%1.08T
191.37%569.62B
183.03%434.25B
127.73%301.53B
105.04%236.88B
105.04%236.88B
74.49%195.5B
46.91%153.43B
Non current assets
Net PPE
366.98%2.24T
441.81%2.08T
441.81%2.08T
199.50%849.16B
172.90%585.92B
155.40%479.78B
123.35%383.27B
123.35%383.27B
76.26%283.53B
38.31%214.7B
-Gross PPE
668.76%3.69T
420.86%3.4T
420.86%3.4T
190.00%1.45T
172.90%585.92B
155.40%479.78B
107.85%653.13B
107.85%653.13B
210.07%498.78B
-22.31%214.7B
-Accumulated depreciation
---1.45T
-391.10%-1.33T
-391.10%-1.33T
-177.50%-597.32B
----
----
-89.19%-269.86B
-89.19%-269.86B
---215.25B
----
Goodwill and other intangible assets
203.35%82.05B
219.31%77.72B
219.31%77.72B
208.96%34.07B
336.49%25.11B
541.86%27.05B
523.75%24.34B
523.75%24.34B
186.71%11.03B
41.15%5.75B
-Goodwill
--29.69B
359.00%28.34B
359.00%28.34B
137.56%12.11B
----
----
71.76%6.17B
71.76%6.17B
--5.1B
----
-Other intangible assets
--52.36B
171.84%49.38B
171.84%49.38B
270.34%21.96B
----
----
5,796.95%18.17B
5,796.95%18.17B
--5.93B
----
Investments and advances
249.02%774.39B
215.06%572.37B
215.06%572.37B
127.49%349.2B
116.92%272.33B
107.34%221.88B
94.83%181.67B
94.83%181.67B
80.56%153.5B
67.50%125.54B
Long-term notes receivables
----
--0
--0
----
----
----
--176.38M
--176.38M
----
----
Non current accounts receivable
194.28%17.14B
313.10%14.57B
313.10%14.57B
122.15%7.79B
104.88%6.66B
81.07%5.82B
4.09%3.53B
4.09%3.53B
36.80%3.51B
0.07%3.25B
Related parties assets
--6.22B
359.00%5.67B
359.00%5.67B
277.73%3.63B
----
----
50.29%1.23B
50.29%1.23B
--961M
----
Non current deferred assets
25.61%11.54B
--0
--0
-95.35%1.62B
-67.49%8.45B
-40.41%9.19B
-26.39%6.35B
-26.39%6.35B
402.89%34.72B
263.97%26.01B
Non current prepaid assets
----
----
----
4,790.63%1.57B
----
----
----
----
--32M
----
Other non current assets
242.72%353M
----
----
100.00%158M
----
-7.12%103M
71.76%176.38M
71.76%176.38M
-19.90%79M
104.99%125.04M
Total non current assets
320.26%3.13T
357.25%2.74T
357.25%2.74T
155.67%1.24T
139.35%898.47B
134.03%743.81B
113.38%599.51B
113.38%599.51B
87.59%486.4B
53.39%375.38B
Total assets
327.44%4.47T
357.07%3.82T
357.07%3.82T
165.90%1.81T
152.02%1.33T
132.18%1.05T
110.95%836.39B
110.95%836.39B
83.64%681.9B
51.45%528.81B
Liabilities
Current liabilities
Payables
222.18%257.96B
256.84%200.78B
256.84%200.78B
267.94%129.05B
111.38%91.72B
136.73%80.07B
150.18%56.26B
150.18%56.26B
53.29%35.08B
118.07%43.39B
-accounts payable
199.52%206.78B
228.33%162.73B
228.33%162.73B
277.59%90.74B
182.94%74.3B
222.56%69.04B
185.58%49.56B
185.58%49.56B
46.79%24.03B
89.68%26.26B
-Total tax payable
448.94%35.86B
331.18%25.1B
331.18%25.1B
323.61%24.15B
-18.39%12.04B
-37.34%6.53B
31.81%5.82B
31.81%5.82B
28.48%5.7B
239.67%14.76B
-Other payable
240.54%15.33B
1,368.81%12.95B
1,368.81%12.95B
165.08%14.16B
126.45%5.38B
125.54%4.5B
22.68%881.89M
22.68%881.89M
157.88%5.34B
39.02%2.38B
Current provisions
580.53%6.19B
588.50%4.86B
588.50%4.86B
83.69%1.21B
63.91%1.02B
63.94%909M
37.40%705.51M
37.40%705.51M
10.86%656M
72.24%625.22M
Current debt and capital lease obligation
243.26%233.36B
283.34%184.58B
283.34%184.58B
194.41%123.82B
944.91%91.46B
775.77%67.98B
464.93%48.15B
464.93%48.15B
599.05%42.06B
-36.06%8.75B
-Current debt
238.70%230.25B
276.62%181.35B
276.62%181.35B
194.66%123.13B
944.91%91.46B
775.77%67.98B
493.54%48.15B
493.54%48.15B
594.59%41.79B
-33.15%8.75B
-Current capital lease obligation
--3.1B
--3.24B
--3.24B
155.60%685M
----
----
----
----
--268M
----
Current deferred liabilities
----
--7.29B
--7.29B
----
----
----
----
----
--84M
----
Other current liabilities
-70.35%110M
----
----
--2M
--35.1B
--371M
--352.76M
--352.76M
----
----
Current liabilities
239.58%510.44B
278.99%421.79B
278.99%421.79B
224.53%258.05B
314.59%220.33B
252.99%150.32B
216.89%111.29B
216.89%111.29B
166.96%79.52B
55.05%53.14B
Non current liabilities
Long term provisions
386.36%150.32B
368.37%121.44B
368.37%121.44B
157.27%54.19B
114.98%38.17B
97.67%30.91B
79.06%25.93B
79.06%25.93B
51.48%21.07B
32.23%17.76B
Long term debt and capital lease obligation
299.03%1.12T
320.92%1T
320.92%1T
130.57%454.7B
90.52%333.05B
83.60%281.37B
69.50%238.11B
69.50%238.11B
46.70%197.21B
32.55%174.81B
-Long term debt
294.77%1.11T
319.27%990.93B
319.27%990.93B
130.46%451.08B
90.52%333.05B
83.60%281.37B
69.35%236.35B
69.35%236.35B
45.60%195.73B
33.51%174.81B
-Long term capital lease obligation
--11.99B
542.60%11.33B
542.60%11.33B
144.72%3.62B
----
----
90.84%1.76B
90.84%1.76B
--1.48B
----
Non current deferred liabilities
222.62%191.35B
455.22%284.97B
455.22%284.97B
8.93%60.41B
--55.08B
--59.31B
165.86%51.33B
165.86%51.33B
194.41%55.46B
----
Employee benefits
564.21%44.17B
431.48%35.62B
431.48%35.62B
296.78%18.02B
160.05%8.45B
139.87%6.65B
141.73%6.7B
141.73%6.7B
109.28%4.54B
25.92%3.25B
Other non current liabilities
----
----
----
----
---768.58M
----
----
----
----
----
Total non current liabilities
293.68%1.51T
349.20%1.45T
349.20%1.45T
111.48%588.98B
97.45%442.45B
98.13%384.05B
81.60%322.24B
81.60%322.24B
62.66%278.5B
36.47%224.08B
Total liabilities
278.46%2.02T
331.18%1.87T
331.18%1.87T
136.59%847.03B
139.08%662.77B
126.02%534.37B
103.95%433.54B
103.95%433.54B
78.12%358.02B
39.67%277.22B
Shareholders'equity
Share capital
-1.45%8.49B
359.00%183.78B
359.00%183.78B
-1.45%8.49B
----
--8.61B
71.76%40.04B
71.76%40.04B
--8.61B
----
-common stock
-1.45%8.49B
359.00%183.78B
359.00%183.78B
-1.45%8.49B
----
--8.61B
71.76%40.04B
71.76%40.04B
--8.61B
----
Retained earnings
271.04%484.8B
114.59%180.54B
114.59%180.54B
62.94%161.92B
----
--130.66B
177.72%84.13B
177.72%84.13B
--99.38B
----
Paid-in capital
0.00%19.95B
359.00%417.74B
359.00%417.74B
0.00%19.95B
----
--19.95B
71.76%91.01B
71.76%91.01B
--19.95B
----
Less: Treasury stock
-90.75%211M
39.70%5.67B
39.70%5.67B
-90.75%211M
----
--2.28B
464.34%4.06B
464.34%4.06B
--2.28B
----
Gains losses not affecting retained earnings
445.81%1.92T
514.13%1.17T
514.13%1.17T
292.68%773.61B
----
--352.63B
146.02%190.49B
146.02%190.49B
--197.01B
----
Total stockholders'equity
378.38%2.44T
384.60%1.95T
384.60%1.95T
198.69%963.76B
166.64%668.15B
139.21%509.57B
119.10%401.61B
119.10%401.61B
90.21%322.66B
67.13%250.59B
Noncontrolling interests
482.61%8.14B
490.15%7.29B
490.15%7.29B
97.04%2.4B
79.27%1.79B
79.97%1.4B
100.38%1.23B
100.38%1.23B
76.28%1.22B
34.64%1B
Total equity
378.67%2.45T
384.93%1.95T
384.93%1.95T
198.31%966.16B
166.29%669.95B
138.99%510.97B
119.03%402.85B
119.03%402.85B
90.15%323.88B
66.97%251.59B
Currency Unit
ARS
ARS
ARS
ARS
ARS
ARS
ARS
ARS
ARS
ARS
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
--
--
--
(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(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 350.10%722.7B451.20%672.76B451.20%672.76B234.36%337.33B215.65%223.4B138.53%160.56B107.43%122.05B107.43%122.05B101.76%100.89B59.87%70.77B
-Cash and cash equivalents 552.43%171.58B640.47%138.44B640.47%138.44B349.66%64.12B286.35%50.73B79.66%26.3B65.51%18.7B65.51%18.7B-16.43%14.26B9.91%13.13B
-Short-term investments 310.47%551.12B416.97%534.32B416.97%534.32B215.38%273.22B199.55%172.67B154.89%134.27B117.38%103.36B117.38%103.36B162.98%86.63B78.33%57.64B
Receivables 271.28%373.81B179.39%215.35B179.39%215.35B143.64%151.98B95.41%116.31B123.63%100.68B110.24%77.08B110.24%77.08B30.41%62.38B36.45%59.52B
-Accounts receivable 218.09%320.26B214.53%169.2B214.53%169.2B149.19%127.64B95.41%116.31B123.63%100.68B104.63%53.8B104.63%53.8B7.08%51.22B92.74%59.52B
-Notes receivable --2.57B129.50%3.24B129.50%3.24B--------------1.41B--1.41B--------
-Taxes receivable --6.35B227.86%8.1B227.86%8.1B422.03%2.46B--------380.92%2.47B380.92%2.47B--472M----
-Related party accounts receivable --6.22B359.00%5.67B359.00%5.67B277.73%3.63B--------50.29%1.23B50.29%1.23B--961M----
-Other receivables --38.41B60.43%29.14B60.43%29.14B87.64%18.25B--------101.03%18.17B101.03%18.17B--9.73B----
Inventory 354.13%182.07B459.15%162.73B459.15%162.73B183.82%68.85B121.56%47.65B100.85%40.09B92.79%29.1B92.79%29.1B70.80%24.26B49.14%21.51B
Prepaid assets --63.46B255.96%30.76B255.96%30.76B86.86%11.18B--------75.33%8.64B75.33%8.64B--5.98B----
Total current assets 345.17%1.34T356.61%1.08T356.61%1.08T191.37%569.62B183.03%434.25B127.73%301.53B105.04%236.88B105.04%236.88B74.49%195.5B46.91%153.43B
Non current assets
Net PPE 366.98%2.24T441.81%2.08T441.81%2.08T199.50%849.16B172.90%585.92B155.40%479.78B123.35%383.27B123.35%383.27B76.26%283.53B38.31%214.7B
-Gross PPE 668.76%3.69T420.86%3.4T420.86%3.4T190.00%1.45T172.90%585.92B155.40%479.78B107.85%653.13B107.85%653.13B210.07%498.78B-22.31%214.7B
-Accumulated depreciation ---1.45T-391.10%-1.33T-391.10%-1.33T-177.50%-597.32B---------89.19%-269.86B-89.19%-269.86B---215.25B----
Goodwill and other intangible assets 203.35%82.05B219.31%77.72B219.31%77.72B208.96%34.07B336.49%25.11B541.86%27.05B523.75%24.34B523.75%24.34B186.71%11.03B41.15%5.75B
-Goodwill --29.69B359.00%28.34B359.00%28.34B137.56%12.11B--------71.76%6.17B71.76%6.17B--5.1B----
-Other intangible assets --52.36B171.84%49.38B171.84%49.38B270.34%21.96B--------5,796.95%18.17B5,796.95%18.17B--5.93B----
Investments and advances 249.02%774.39B215.06%572.37B215.06%572.37B127.49%349.2B116.92%272.33B107.34%221.88B94.83%181.67B94.83%181.67B80.56%153.5B67.50%125.54B
Long-term notes receivables ------0--0--------------176.38M--176.38M--------
Non current accounts receivable 194.28%17.14B313.10%14.57B313.10%14.57B122.15%7.79B104.88%6.66B81.07%5.82B4.09%3.53B4.09%3.53B36.80%3.51B0.07%3.25B
Related parties assets --6.22B359.00%5.67B359.00%5.67B277.73%3.63B--------50.29%1.23B50.29%1.23B--961M----
Non current deferred assets 25.61%11.54B--0--0-95.35%1.62B-67.49%8.45B-40.41%9.19B-26.39%6.35B-26.39%6.35B402.89%34.72B263.97%26.01B
Non current prepaid assets ------------4,790.63%1.57B------------------32M----
Other non current assets 242.72%353M--------100.00%158M-----7.12%103M71.76%176.38M71.76%176.38M-19.90%79M104.99%125.04M
Total non current assets 320.26%3.13T357.25%2.74T357.25%2.74T155.67%1.24T139.35%898.47B134.03%743.81B113.38%599.51B113.38%599.51B87.59%486.4B53.39%375.38B
Total assets 327.44%4.47T357.07%3.82T357.07%3.82T165.90%1.81T152.02%1.33T132.18%1.05T110.95%836.39B110.95%836.39B83.64%681.9B51.45%528.81B
Liabilities
Current liabilities
Payables 222.18%257.96B256.84%200.78B256.84%200.78B267.94%129.05B111.38%91.72B136.73%80.07B150.18%56.26B150.18%56.26B53.29%35.08B118.07%43.39B
-accounts payable 199.52%206.78B228.33%162.73B228.33%162.73B277.59%90.74B182.94%74.3B222.56%69.04B185.58%49.56B185.58%49.56B46.79%24.03B89.68%26.26B
-Total tax payable 448.94%35.86B331.18%25.1B331.18%25.1B323.61%24.15B-18.39%12.04B-37.34%6.53B31.81%5.82B31.81%5.82B28.48%5.7B239.67%14.76B
-Other payable 240.54%15.33B1,368.81%12.95B1,368.81%12.95B165.08%14.16B126.45%5.38B125.54%4.5B22.68%881.89M22.68%881.89M157.88%5.34B39.02%2.38B
Current provisions 580.53%6.19B588.50%4.86B588.50%4.86B83.69%1.21B63.91%1.02B63.94%909M37.40%705.51M37.40%705.51M10.86%656M72.24%625.22M
Current debt and capital lease obligation 243.26%233.36B283.34%184.58B283.34%184.58B194.41%123.82B944.91%91.46B775.77%67.98B464.93%48.15B464.93%48.15B599.05%42.06B-36.06%8.75B
-Current debt 238.70%230.25B276.62%181.35B276.62%181.35B194.66%123.13B944.91%91.46B775.77%67.98B493.54%48.15B493.54%48.15B594.59%41.79B-33.15%8.75B
-Current capital lease obligation --3.1B--3.24B--3.24B155.60%685M------------------268M----
Current deferred liabilities ------7.29B--7.29B----------------------84M----
Other current liabilities -70.35%110M----------2M--35.1B--371M--352.76M--352.76M--------
Current liabilities 239.58%510.44B278.99%421.79B278.99%421.79B224.53%258.05B314.59%220.33B252.99%150.32B216.89%111.29B216.89%111.29B166.96%79.52B55.05%53.14B
Non current liabilities
Long term provisions 386.36%150.32B368.37%121.44B368.37%121.44B157.27%54.19B114.98%38.17B97.67%30.91B79.06%25.93B79.06%25.93B51.48%21.07B32.23%17.76B
Long term debt and capital lease obligation 299.03%1.12T320.92%1T320.92%1T130.57%454.7B90.52%333.05B83.60%281.37B69.50%238.11B69.50%238.11B46.70%197.21B32.55%174.81B
-Long term debt 294.77%1.11T319.27%990.93B319.27%990.93B130.46%451.08B90.52%333.05B83.60%281.37B69.35%236.35B69.35%236.35B45.60%195.73B33.51%174.81B
-Long term capital lease obligation --11.99B542.60%11.33B542.60%11.33B144.72%3.62B--------90.84%1.76B90.84%1.76B--1.48B----
Non current deferred liabilities 222.62%191.35B455.22%284.97B455.22%284.97B8.93%60.41B--55.08B--59.31B165.86%51.33B165.86%51.33B194.41%55.46B----
Employee benefits 564.21%44.17B431.48%35.62B431.48%35.62B296.78%18.02B160.05%8.45B139.87%6.65B141.73%6.7B141.73%6.7B109.28%4.54B25.92%3.25B
Other non current liabilities -------------------768.58M--------------------
Total non current liabilities 293.68%1.51T349.20%1.45T349.20%1.45T111.48%588.98B97.45%442.45B98.13%384.05B81.60%322.24B81.60%322.24B62.66%278.5B36.47%224.08B
Total liabilities 278.46%2.02T331.18%1.87T331.18%1.87T136.59%847.03B139.08%662.77B126.02%534.37B103.95%433.54B103.95%433.54B78.12%358.02B39.67%277.22B
Shareholders'equity
Share capital -1.45%8.49B359.00%183.78B359.00%183.78B-1.45%8.49B------8.61B71.76%40.04B71.76%40.04B--8.61B----
-common stock -1.45%8.49B359.00%183.78B359.00%183.78B-1.45%8.49B------8.61B71.76%40.04B71.76%40.04B--8.61B----
Retained earnings 271.04%484.8B114.59%180.54B114.59%180.54B62.94%161.92B------130.66B177.72%84.13B177.72%84.13B--99.38B----
Paid-in capital 0.00%19.95B359.00%417.74B359.00%417.74B0.00%19.95B------19.95B71.76%91.01B71.76%91.01B--19.95B----
Less: Treasury stock -90.75%211M39.70%5.67B39.70%5.67B-90.75%211M------2.28B464.34%4.06B464.34%4.06B--2.28B----
Gains losses not affecting retained earnings 445.81%1.92T514.13%1.17T514.13%1.17T292.68%773.61B------352.63B146.02%190.49B146.02%190.49B--197.01B----
Total stockholders'equity 378.38%2.44T384.60%1.95T384.60%1.95T198.69%963.76B166.64%668.15B139.21%509.57B119.10%401.61B119.10%401.61B90.21%322.66B67.13%250.59B
Noncontrolling interests 482.61%8.14B490.15%7.29B490.15%7.29B97.04%2.4B79.27%1.79B79.97%1.4B100.38%1.23B100.38%1.23B76.28%1.22B34.64%1B
Total equity 378.67%2.45T384.93%1.95T384.93%1.95T198.31%966.16B166.29%669.95B138.99%510.97B119.03%402.85B119.03%402.85B90.15%323.88B66.97%251.59B
Currency Unit ARSARSARSARSARSARSARSARSARSARS
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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