US Stock MarketDetailed Quotes

PPL PPL Corp

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  • 34.440
  • -0.490-1.40%
Close Dec 2 16:00 ET
  • 34.650
  • +0.210+0.61%
Post 18:30 ET
25.42BMarket Cap31.03P/E (TTM)

PPL Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-3.10%781M
85.92%766M
-34.42%282M
1.62%1.76B
-49.77%110M
51.50%806M
-13.63%412M
-14.34%430M
12.05%1.73B
-25.00%219M
Net income from continuing operations
-6.96%214M
69.64%190M
7.72%307M
3.64%740M
-23.65%113M
32.18%230M
-5.88%112M
4.40%285M
3,866.67%714M
4.23%148M
Operating gains losses
10.53%-17M
-11.11%-20M
16.67%-15M
-265.91%-73M
-132.14%-18M
-375.00%-19M
---18M
---18M
-89.14%44M
460.00%56M
Depreciation and amortization
0.00%336M
2.09%342M
3.03%340M
8.27%1.34B
0.91%334M
2.75%336M
12.79%335M
18.71%330M
9.99%1.23B
17.79%331M
Deferred tax
-5.71%33M
40.00%42M
-6.49%72M
79.89%322M
45.16%180M
3,600.00%35M
76.47%30M
97.44%77M
105.75%179M
244.44%124M
Other non cash items
323.53%38M
-383.33%-58M
114.77%13M
-441.18%-460M
-276.92%-343M
0.00%-17M
-138.71%-12M
-1,000.00%-88M
53.55%-85M
-44.44%-91M
Change In working capital
-26.56%177M
871.43%270M
-178.85%-435M
64.54%-139M
36.15%-189M
751.35%241M
-266.67%-35M
-95.00%-156M
-1,881.82%-392M
-96.03%-296M
-Change in receivables
393.33%132M
17.05%254M
-220.00%-18M
88.74%-42M
26.60%-229M
-25.00%-45M
1,546.67%217M
250.00%15M
-1,863.16%-373M
-411.48%-312M
-Change in inventory
0.00%-13M
27.50%-29M
230.00%33M
33.33%-60M
10.53%-17M
86.17%-13M
-110.53%-40M
-76.19%10M
-328.57%-90M
20.83%-19M
-Change in prepaid assets
-30.43%32M
114.29%1M
-30.12%-108M
----
----
0.00%46M
-216.67%-7M
-10.67%-83M
----
----
-Change in payables and accrued expense
-84.57%27M
106.96%11M
-368.42%-178M
-113.98%-39M
-115.79%-18M
348.72%175M
-328.99%-158M
-166.67%-38M
1,368.42%279M
332.65%114M
-Change in other working capital
-101.28%-1M
170.21%33M
-173.33%-164M
100.96%2M
130.39%31M
875.00%78M
-135.00%-47M
36.17%-60M
-583.72%-208M
-500.00%-102M
Cash from discontinued investing activities
0
0
Operating cash flow
-3.10%781M
85.92%766M
-34.42%282M
1.62%1.76B
-49.77%110M
51.50%806M
-13.63%412M
-14.34%430M
-23.79%1.73B
-25.00%219M
Investing cash flow
Cash flow from continuing investing activities
-6.22%-683M
-12.98%-670M
-17.50%-591M
57.85%-2.38B
-37.61%-644M
-27.83%-643M
86.07%-593M
-17.80%-503M
-166.02%-5.65B
8.95%-468M
Capital expenditure reported
-4.30%-679M
-13.37%-670M
-19.44%-596M
-10.90%-2.39B
-1.41%-649M
-28.66%-651M
-1.55%-591M
-16.86%-499M
-9.22%-2.16B
-24.76%-640M
Net business purchase and sale
----
----
----
--0
----
----
----
----
-133.28%-3.51B
--160M
Net other investing changes
-150.00%-4M
--0
225.00%5M
-53.33%7M
-58.33%5M
--8M
---2M
---4M
165.22%15M
1,300.00%12M
Cash from discontinued investing activities
Investing cash flow
-6.22%-683M
12.22%-79M
-17.50%-1.18B
57.85%-2.38B
-37.61%-644M
-27.83%-643M
97.89%-90M
-135.60%-1.01B
-171.06%-5.65B
8.95%-468M
Financing cash flow
Cash flow from continuing financing activities
218.38%161M
-297.87%-93M
40.11%248M
-8.32%650M
86.09%562M
-119.35%-136M
135.07%47M
-70.65%177M
109.65%709M
131.01%302M
Net issuance payments of debt
711.36%357M
-57.39%98M
14.03%447M
-6.46%1.41B
55.91%739M
-59.63%44M
7,566.67%230M
-57.21%392M
129.71%1.5B
586.96%474M
Net common stock issuance
----
----
----
--0
----
----
----
----
--0
----
Cash dividends paid
-6.74%-190M
-7.34%-190M
-3.51%-177M
10.55%-704M
-6.59%-178M
-6.59%-178M
-20.41%-177M
44.12%-171M
38.47%-787M
47.48%-167M
Net other financing activities
-200.00%-6M
83.33%-1M
50.00%-22M
-750.00%-51M
120.00%1M
50.00%-2M
-160.00%-6M
-528.57%-44M
14.29%-6M
-25.00%-5M
Cash from discontinued financing activities
0
0
Financing cash flow
218.38%161M
-297.87%-93M
40.11%248M
-8.32%650M
86.09%562M
-119.35%-136M
135.07%47M
-70.65%177M
109.59%709M
131.01%302M
Net cash flow
Beginning cash position
-0.92%324M
-30.37%321M
7.00%382M
-90.01%357M
16.45%354M
-2.97%327M
-89.15%461M
-90.01%357M
706.32%3.57B
-93.62%304M
Current changes in cash
859.26%259M
102.24%3M
-158.65%-61M
100.78%25M
-47.17%28M
181.82%27M
96.58%-134M
-84.66%104M
-203.01%-3.22B
104.43%53M
Effect of exchange rate changes
----
----
----
--0
----
----
----
----
--0
----
End cash Position
64.69%583M
-0.92%324M
-30.37%321M
7.00%382M
7.00%382M
16.45%354M
-2.97%327M
-89.15%461M
-90.01%357M
-90.01%357M
Free cash flow
-34.19%102M
153.63%96M
-355.07%-314M
-48.71%-632M
-28.03%-539M
496.15%155M
-70.48%-179M
-192.00%-69M
-243.10%-425M
-90.50%-421M
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
--
--
--
--
--
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -3.10%781M85.92%766M-34.42%282M1.62%1.76B-49.77%110M51.50%806M-13.63%412M-14.34%430M12.05%1.73B-25.00%219M
Net income from continuing operations -6.96%214M69.64%190M7.72%307M3.64%740M-23.65%113M32.18%230M-5.88%112M4.40%285M3,866.67%714M4.23%148M
Operating gains losses 10.53%-17M-11.11%-20M16.67%-15M-265.91%-73M-132.14%-18M-375.00%-19M---18M---18M-89.14%44M460.00%56M
Depreciation and amortization 0.00%336M2.09%342M3.03%340M8.27%1.34B0.91%334M2.75%336M12.79%335M18.71%330M9.99%1.23B17.79%331M
Deferred tax -5.71%33M40.00%42M-6.49%72M79.89%322M45.16%180M3,600.00%35M76.47%30M97.44%77M105.75%179M244.44%124M
Other non cash items 323.53%38M-383.33%-58M114.77%13M-441.18%-460M-276.92%-343M0.00%-17M-138.71%-12M-1,000.00%-88M53.55%-85M-44.44%-91M
Change In working capital -26.56%177M871.43%270M-178.85%-435M64.54%-139M36.15%-189M751.35%241M-266.67%-35M-95.00%-156M-1,881.82%-392M-96.03%-296M
-Change in receivables 393.33%132M17.05%254M-220.00%-18M88.74%-42M26.60%-229M-25.00%-45M1,546.67%217M250.00%15M-1,863.16%-373M-411.48%-312M
-Change in inventory 0.00%-13M27.50%-29M230.00%33M33.33%-60M10.53%-17M86.17%-13M-110.53%-40M-76.19%10M-328.57%-90M20.83%-19M
-Change in prepaid assets -30.43%32M114.29%1M-30.12%-108M--------0.00%46M-216.67%-7M-10.67%-83M--------
-Change in payables and accrued expense -84.57%27M106.96%11M-368.42%-178M-113.98%-39M-115.79%-18M348.72%175M-328.99%-158M-166.67%-38M1,368.42%279M332.65%114M
-Change in other working capital -101.28%-1M170.21%33M-173.33%-164M100.96%2M130.39%31M875.00%78M-135.00%-47M36.17%-60M-583.72%-208M-500.00%-102M
Cash from discontinued investing activities 00
Operating cash flow -3.10%781M85.92%766M-34.42%282M1.62%1.76B-49.77%110M51.50%806M-13.63%412M-14.34%430M-23.79%1.73B-25.00%219M
Investing cash flow
Cash flow from continuing investing activities -6.22%-683M-12.98%-670M-17.50%-591M57.85%-2.38B-37.61%-644M-27.83%-643M86.07%-593M-17.80%-503M-166.02%-5.65B8.95%-468M
Capital expenditure reported -4.30%-679M-13.37%-670M-19.44%-596M-10.90%-2.39B-1.41%-649M-28.66%-651M-1.55%-591M-16.86%-499M-9.22%-2.16B-24.76%-640M
Net business purchase and sale --------------0-----------------133.28%-3.51B--160M
Net other investing changes -150.00%-4M--0225.00%5M-53.33%7M-58.33%5M--8M---2M---4M165.22%15M1,300.00%12M
Cash from discontinued investing activities
Investing cash flow -6.22%-683M12.22%-79M-17.50%-1.18B57.85%-2.38B-37.61%-644M-27.83%-643M97.89%-90M-135.60%-1.01B-171.06%-5.65B8.95%-468M
Financing cash flow
Cash flow from continuing financing activities 218.38%161M-297.87%-93M40.11%248M-8.32%650M86.09%562M-119.35%-136M135.07%47M-70.65%177M109.65%709M131.01%302M
Net issuance payments of debt 711.36%357M-57.39%98M14.03%447M-6.46%1.41B55.91%739M-59.63%44M7,566.67%230M-57.21%392M129.71%1.5B586.96%474M
Net common stock issuance --------------0------------------0----
Cash dividends paid -6.74%-190M-7.34%-190M-3.51%-177M10.55%-704M-6.59%-178M-6.59%-178M-20.41%-177M44.12%-171M38.47%-787M47.48%-167M
Net other financing activities -200.00%-6M83.33%-1M50.00%-22M-750.00%-51M120.00%1M50.00%-2M-160.00%-6M-528.57%-44M14.29%-6M-25.00%-5M
Cash from discontinued financing activities 00
Financing cash flow 218.38%161M-297.87%-93M40.11%248M-8.32%650M86.09%562M-119.35%-136M135.07%47M-70.65%177M109.59%709M131.01%302M
Net cash flow
Beginning cash position -0.92%324M-30.37%321M7.00%382M-90.01%357M16.45%354M-2.97%327M-89.15%461M-90.01%357M706.32%3.57B-93.62%304M
Current changes in cash 859.26%259M102.24%3M-158.65%-61M100.78%25M-47.17%28M181.82%27M96.58%-134M-84.66%104M-203.01%-3.22B104.43%53M
Effect of exchange rate changes --------------0------------------0----
End cash Position 64.69%583M-0.92%324M-30.37%321M7.00%382M7.00%382M16.45%354M-2.97%327M-89.15%461M-90.01%357M-90.01%357M
Free cash flow -34.19%102M153.63%96M-355.07%-314M-48.71%-632M-28.03%-539M496.15%155M-70.48%-179M-192.00%-69M-243.10%-425M-90.50%-421M
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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