US Stock MarketDetailed Quotes

PAM Pampa Energia

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  • 79.450
  • -1.350-1.67%
Close Mar 28 16:00 ET
  • 79.450
  • 0.0000.00%
Post 16:34 ET
4.33BMarket Cap12.59P/E (TTM)

Pampa Energia Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-24.35%435M
-8.97%193.42M
141.06%163.35M
-31.65%94.83M
-110.64%-16.6M
-7.11%575M
-22.48%212.48M
67.77M
138.74M
36.86%156.02M
Net income from continuing operations
102.95%619M
492.29%150.56M
70.51%124.74M
-41.61%82.4M
102.39%261.3M
-33.26%305M
-123.09%-38.38M
--73.16M
--141.11M
36.95%129.11M
Operating gains losses
22.56%-103M
40.87%-38.97M
-1,221.50%-49.12M
190.43%32.15M
-69.09%-47.06M
17.39%-133M
-9.19%-65.9M
---3.72M
---35.55M
-28.92%-27.83M
Depreciation and amortization
28.09%342M
-14.20%103.56M
125.97%93.5M
55.21%78.25M
22.34%66.68M
25.94%267M
48.24%120.7M
--41.38M
--50.42M
12.48%54.51M
Deferred tax
-138.05%-121M
-102.05%-5.31M
-43.63%17.38M
-66.93%10.17M
-4,546.53%-143.25M
156.45%318M
193.04%259.5M
--30.84M
--30.75M
3.43%-3.08M
Other non cash items
-46.95%148M
-55.01%50.34M
-4.36%34.48M
-60.73%28.75M
-40.48%34.43M
35.44%279M
23.65%111.89M
--36.06M
--73.21M
29.49%57.85M
Change In working capital
-154.55%-336M
274.98%32.69M
37.79%-45.08M
-312.63%-132.89M
-2,103.92%-190.73M
0.00%-132M
-187.78%-18.68M
---72.46M
---32.21M
82.83%-8.65M
-Change in receivables
-172.19%-411M
165.29%37.78M
44.03%-42.97M
-909.23%-110.82M
-882.08%-294.99M
35.19%-151M
18.61%-57.87M
---76.79M
--13.69M
-62.96%-30.04M
-Change in inventory
42.86%-20M
93.14%10.52M
82.16%-3.73M
-495.97%-8.68M
16.66%-18.11M
-66.67%-35M
231.88%5.45M
---20.91M
--2.19M
21.20%-21.73M
-Change in payables and accrued expense
82.81%117M
-94.70%2.26M
-79.87%3.74M
70.65%-12.48M
172.97%123.48M
-49.21%64M
-55.94%42.73M
--18.56M
---42.52M
1,648.27%45.24M
-Change in other working capital
-120.00%-22M
-98.86%-17.87M
-153.11%-1.94M
57.80%-1.08M
47.72%-1.11M
-150.00%-10M
-1,836.16%-8.99M
--3.66M
---2.55M
-45.39%-2.12M
Cash from discontinued investing activities
0
Operating cash flow
-24.35%435M
-8.97%193.42M
141.06%163.35M
-31.65%94.83M
-110.64%-16.6M
-7.11%575M
-22.48%212.48M
--67.77M
--138.74M
36.86%156.02M
Investing cash flow
Cash flow from continuing investing activities
22.87%-344M
27.42%-88.01M
10.75%-74.91M
-114.10%-142.58M
77.90%-38.49M
22.43%-446M
50.29%-121.27M
-83.93M
-66.6M
-141.26%-174.2M
Net PPE purchase and sale
40.95%-447M
64.76%-137.09M
20.98%-59.97M
5.75%-117.09M
20.84%-132.85M
-81.97%-757M
-146.45%-389.06M
---75.89M
---124.24M
-137.22%-167.82M
Net intangibles purchase and sale
--0
-99.65%53.85K
256.27%2.64M
-86.23%-2.7M
--0
300.00%20M
521.32%15.35M
---1.69M
---1.45M
241.70%7.8M
Net business purchase and sale
52.11%108M
-2.30%33.98M
47.43%45.26M
78.47%9.39M
7,246.00%19.37M
205.97%71M
134.89%34.78M
--30.7M
--5.26M
-81.01%263.7K
Net investment purchase and sale
-106.64%-15M
-93.95%13.29M
-88.36%-63.58M
-158.88%-31.58M
598.79%66.86M
319.42%226M
1,275.39%219.53M
---33.75M
--53.63M
32.03%-13.41M
Net other investing changes
116.67%1M
160.32%1.12M
100.22%7.21K
----
----
-154.55%-6M
-161.21%-1.86M
---3.3M
--193.39K
-109.84%-1.04M
Cash from discontinued investing activities
Investing cash flow
22.87%-344M
27.42%-88.01M
10.75%-74.91M
-114.10%-142.58M
77.90%-38.49M
22.43%-446M
50.29%-121.27M
---83.93M
---66.6M
-141.26%-174.2M
Financing cash flow
Cash flow from continuing financing activities
935.09%476M
420.31%317.6M
1,738.50%85.56M
-134.17%-5.37M
147.09%78.21M
-23.91%-57M
-282.63%-99.15M
-5.22M
15.72M
264.87%31.65M
Net issuance payments of debt
177.23%621M
977.47%354.8M
322.77%114.94M
-60.48%33.2M
47.83%118.06M
67.16%224M
-37.41%32.93M
--27.19M
--84.02M
271.95%79.86M
Net common stock issuance
--0
----
----
----
----
--0
----
----
----
----
Cash dividends paid
--0
106.36%38.32K
-98.40%2.32K
92.51%-40.64K
--0
---1M
-395.17%-602.12K
--144.68K
---542.56K
--0
Cash from discontinued financing activities
0
Financing cash flow
935.09%476M
420.31%317.6M
1,738.50%85.56M
-134.17%-5.37M
147.09%78.21M
-23.91%-57M
-282.63%-99.15M
---5.22M
--15.72M
264.87%31.65M
Net cash flow
Beginning cash position
61.32%171M
81.70%333.48M
-23.20%152.13M
58.88%200.33M
79.13%161.09M
-3.64%106M
89.29%183.53M
--198.09M
--126.09M
-11.61%89.93M
Current changes in cash
687.50%567M
5,423.92%423M
913.56%174M
-160.47%-53.13M
71.65%23.13M
3,700.00%72M
-287.59%-7.95M
---21.39M
--87.86M
-40.38%13.47M
Effect of exchange rate changes
--0
18.11%-46.59M
122.19%15.99M
-27.61%14.49M
-28.98%16.11M
-250.00%-7M
-99.83%-56.9M
--7.2M
--20.02M
201.24%22.68M
End cash Position
331.58%738M
331.58%738M
81.70%333.48M
-23.20%152.13M
58.88%200.33M
61.32%171M
61.32%171M
--183.53M
--198.09M
-4.39%126.09M
Free cash flow
93.44%-12M
131.98%56.72M
1,404.00%105.69M
-271.75%-24.97M
-1,137.88%-149.44M
-206.40%-183M
-264.03%-177.36M
---8.1M
--14.54M
-127.93%-12.07M
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
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -24.35%435M-8.97%193.42M141.06%163.35M-31.65%94.83M-110.64%-16.6M-7.11%575M-22.48%212.48M67.77M138.74M36.86%156.02M
Net income from continuing operations 102.95%619M492.29%150.56M70.51%124.74M-41.61%82.4M102.39%261.3M-33.26%305M-123.09%-38.38M--73.16M--141.11M36.95%129.11M
Operating gains losses 22.56%-103M40.87%-38.97M-1,221.50%-49.12M190.43%32.15M-69.09%-47.06M17.39%-133M-9.19%-65.9M---3.72M---35.55M-28.92%-27.83M
Depreciation and amortization 28.09%342M-14.20%103.56M125.97%93.5M55.21%78.25M22.34%66.68M25.94%267M48.24%120.7M--41.38M--50.42M12.48%54.51M
Deferred tax -138.05%-121M-102.05%-5.31M-43.63%17.38M-66.93%10.17M-4,546.53%-143.25M156.45%318M193.04%259.5M--30.84M--30.75M3.43%-3.08M
Other non cash items -46.95%148M-55.01%50.34M-4.36%34.48M-60.73%28.75M-40.48%34.43M35.44%279M23.65%111.89M--36.06M--73.21M29.49%57.85M
Change In working capital -154.55%-336M274.98%32.69M37.79%-45.08M-312.63%-132.89M-2,103.92%-190.73M0.00%-132M-187.78%-18.68M---72.46M---32.21M82.83%-8.65M
-Change in receivables -172.19%-411M165.29%37.78M44.03%-42.97M-909.23%-110.82M-882.08%-294.99M35.19%-151M18.61%-57.87M---76.79M--13.69M-62.96%-30.04M
-Change in inventory 42.86%-20M93.14%10.52M82.16%-3.73M-495.97%-8.68M16.66%-18.11M-66.67%-35M231.88%5.45M---20.91M--2.19M21.20%-21.73M
-Change in payables and accrued expense 82.81%117M-94.70%2.26M-79.87%3.74M70.65%-12.48M172.97%123.48M-49.21%64M-55.94%42.73M--18.56M---42.52M1,648.27%45.24M
-Change in other working capital -120.00%-22M-98.86%-17.87M-153.11%-1.94M57.80%-1.08M47.72%-1.11M-150.00%-10M-1,836.16%-8.99M--3.66M---2.55M-45.39%-2.12M
Cash from discontinued investing activities 0
Operating cash flow -24.35%435M-8.97%193.42M141.06%163.35M-31.65%94.83M-110.64%-16.6M-7.11%575M-22.48%212.48M--67.77M--138.74M36.86%156.02M
Investing cash flow
Cash flow from continuing investing activities 22.87%-344M27.42%-88.01M10.75%-74.91M-114.10%-142.58M77.90%-38.49M22.43%-446M50.29%-121.27M-83.93M-66.6M-141.26%-174.2M
Net PPE purchase and sale 40.95%-447M64.76%-137.09M20.98%-59.97M5.75%-117.09M20.84%-132.85M-81.97%-757M-146.45%-389.06M---75.89M---124.24M-137.22%-167.82M
Net intangibles purchase and sale --0-99.65%53.85K256.27%2.64M-86.23%-2.7M--0300.00%20M521.32%15.35M---1.69M---1.45M241.70%7.8M
Net business purchase and sale 52.11%108M-2.30%33.98M47.43%45.26M78.47%9.39M7,246.00%19.37M205.97%71M134.89%34.78M--30.7M--5.26M-81.01%263.7K
Net investment purchase and sale -106.64%-15M-93.95%13.29M-88.36%-63.58M-158.88%-31.58M598.79%66.86M319.42%226M1,275.39%219.53M---33.75M--53.63M32.03%-13.41M
Net other investing changes 116.67%1M160.32%1.12M100.22%7.21K---------154.55%-6M-161.21%-1.86M---3.3M--193.39K-109.84%-1.04M
Cash from discontinued investing activities
Investing cash flow 22.87%-344M27.42%-88.01M10.75%-74.91M-114.10%-142.58M77.90%-38.49M22.43%-446M50.29%-121.27M---83.93M---66.6M-141.26%-174.2M
Financing cash flow
Cash flow from continuing financing activities 935.09%476M420.31%317.6M1,738.50%85.56M-134.17%-5.37M147.09%78.21M-23.91%-57M-282.63%-99.15M-5.22M15.72M264.87%31.65M
Net issuance payments of debt 177.23%621M977.47%354.8M322.77%114.94M-60.48%33.2M47.83%118.06M67.16%224M-37.41%32.93M--27.19M--84.02M271.95%79.86M
Net common stock issuance --0------------------0----------------
Cash dividends paid --0106.36%38.32K-98.40%2.32K92.51%-40.64K--0---1M-395.17%-602.12K--144.68K---542.56K--0
Cash from discontinued financing activities 0
Financing cash flow 935.09%476M420.31%317.6M1,738.50%85.56M-134.17%-5.37M147.09%78.21M-23.91%-57M-282.63%-99.15M---5.22M--15.72M264.87%31.65M
Net cash flow
Beginning cash position 61.32%171M81.70%333.48M-23.20%152.13M58.88%200.33M79.13%161.09M-3.64%106M89.29%183.53M--198.09M--126.09M-11.61%89.93M
Current changes in cash 687.50%567M5,423.92%423M913.56%174M-160.47%-53.13M71.65%23.13M3,700.00%72M-287.59%-7.95M---21.39M--87.86M-40.38%13.47M
Effect of exchange rate changes --018.11%-46.59M122.19%15.99M-27.61%14.49M-28.98%16.11M-250.00%-7M-99.83%-56.9M--7.2M--20.02M201.24%22.68M
End cash Position 331.58%738M331.58%738M81.70%333.48M-23.20%152.13M58.88%200.33M61.32%171M61.32%171M--183.53M--198.09M-4.39%126.09M
Free cash flow 93.44%-12M131.98%56.72M1,404.00%105.69M-271.75%-24.97M-1,137.88%-149.44M-206.40%-183M-264.03%-177.36M---8.1M--14.54M-127.93%-12.07M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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