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SRE Sempra Energy

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  • 71.570
  • -0.330-0.46%
Close Feb 28 16:00 ET
  • 71.500
  • -0.070-0.10%
Post 19:52 ET
46.62BMarket Cap16.19P/E (TTM)

Sempra Energy 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
-21.08%4.91B
25.34%1.37B
-26.58%1.02B
-61.92%669M
-6.52%1.85B
444.48%6.22B
447.92%1.09B
253.14%1.39B
132.10%1.76B
23.21%1.98B
Net income from continuing operations
-3.26%3.5B
15.54%989M
-11.12%759M
18.34%871M
-24.83%881M
58.34%3.62B
109.80%856M
52.23%854M
11.68%736M
78.39%1.17B
Operating gains losses
15.88%-1.81B
-21.00%-582M
3.88%-471M
27.79%-421M
44.01%-332M
-238.11%-2.15B
-281.51%-481M
-42.86%-490M
-64.23%-583M
-193.56%-593M
Depreciation and amortization
9.43%2.44B
8.68%626M
9.06%614M
9.84%603M
10.20%594M
10.30%2.23B
10.98%576M
11.26%563M
9.58%549M
9.33%539M
Deferred tax
-108.03%-20M
1,253.33%203M
-112.36%-189M
-344.29%-171M
-45.85%137M
-36.48%249M
200.00%15M
-1,212.50%-89M
118.75%70M
-27.09%253M
Other non cash items
242.86%20M
165.00%13M
-52.00%12M
73.91%-12M
-74.07%7M
-125.00%-14M
-322.22%-20M
146.30%25M
-190.20%-46M
-46.00%27M
Change In working capital
-173.29%-612M
-86.24%-406M
-131.18%-29M
-162.99%-446M
6.75%269M
120.76%835M
87.64%-218M
104.76%93M
305.22%708M
514.63%252M
-Change in receivables
-29.76%118M
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----
127.27%168M
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-Change in inventory
7.50%-74M
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----
----
----
-370.59%-80M
----
----
----
----
-Change in payables and accrued expense
51.48%-131M
----
----
----
----
-162.79%-270M
----
----
----
----
-Change in other current assets
-372.73%-30M
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----
----
----
100.68%11M
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----
----
----
-Change in other current liabilities
-88.82%142M
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----
----
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457.02%1.27B
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-Change in other working capital
-141.29%-637M
67.27%-431M
-131.18%-29M
-162.99%-446M
6.75%269M
89.18%-264M
-879.29%-1.32B
104.06%93M
296.12%708M
514.63%252M
Cash from discontinued investing activities
Operating cash flow
-21.08%4.91B
25.34%1.37B
-26.58%1.02B
-61.92%669M
-6.52%1.85B
444.48%6.22B
447.92%1.09B
253.14%1.39B
132.10%1.76B
23.21%1.98B
Investing cash flow
Cash flow from continuing investing activities
-4.61%-9.12B
-17.00%-2.82B
-13.01%-2.13B
18.41%-2.06B
-11.19%-2.11B
-72.97%-8.72B
-29.96%-2.41B
-190.59%-1.88B
-102.89%-2.53B
-46.90%-1.9B
Capital expenditure reported
2.17%-8.22B
-5.47%-2.45B
-7.98%-1.94B
22.63%-1.9B
-5.63%-1.93B
-56.75%-8.4B
-27.85%-2.32B
-51.99%-1.79B
-111.93%-2.45B
-51.99%-1.83B
Net investment purchase and sale
-182.48%-935M
-331.87%-393M
-117.78%-196M
-108.43%-173M
-158.21%-173M
-5.41%-331M
-133.33%-91M
4.26%-90M
13.54%-83M
21.18%-67M
Net other investing changes
91.67%23M
500.00%12M
400.00%3M
0.00%9M
-150.00%-1M
-98.10%12M
--2M
-100.16%-1M
12.50%9M
300.00%2M
Cash from discontinued investing activities
Investing cash flow
-4.61%-9.12B
-17.00%-2.82B
-13.01%-2.13B
18.41%-2.06B
-11.19%-2.11B
-72.97%-8.72B
-29.96%-2.41B
-190.59%-1.88B
-102.89%-2.53B
-46.90%-1.9B
Financing cash flow
Cash flow from continuing financing activities
124.22%5.42B
966.97%2.36B
95.41%1.45B
-29.71%918M
363.58%700M
-35.99%2.42B
-88.01%221M
195.22%741M
2,678.72%1.31B
-90.78%151M
Net issuance payments of debt
147.95%4.78B
266.91%1.49B
578.85%1.49B
-25.96%1.1B
99.43%700M
-54.21%1.93B
-82.39%405M
-148.45%-312M
249.65%1.48B
-84.43%351M
Net common stock issuance
940.71%1.18B
721.38%1.19B
800.00%7M
--8M
3.23%-30M
123.84%113M
--145M
0.00%-1M
--0
86.10%-31M
Cash dividends paid
-1.05%-1.54B
-1.01%-400M
-1.33%-380M
-1.26%-401M
-0.56%-362M
-3.60%-1.53B
-3.66%-396M
-4.46%-375M
-3.13%-396M
-3.15%-360M
Net other financing activities
-46.85%1.01B
20.90%81M
-77.12%327M
-2.74%213M
105.24%392M
25.48%1.91B
189.33%67M
4,430.30%1.43B
-86.90%219M
524.44%191M
Cash from discontinued financing activities
Financing cash flow
124.22%5.42B
966.97%2.36B
95.41%1.45B
-29.71%918M
363.58%700M
-35.99%2.42B
-88.01%221M
195.22%741M
2,678.72%1.31B
-90.78%151M
Net cash flow
Beginning cash position
-15.80%389M
-53.72%690M
-71.74%351M
18.63%834M
-15.80%389M
-20.48%462M
89.69%1.49B
-40.66%1.24B
-72.28%703M
-20.48%462M
Current changes in cash
1,635.44%1.21B
181.76%901M
36.80%342M
-188.27%-474M
88.14%444M
33.05%-79M
-238.04%-1.1B
119.14%250M
221.77%537M
-87.93%236M
Effect of exchange rate changes
-316.67%-13M
---2M
-200.00%-3M
-550.00%-9M
-80.00%1M
700.00%6M
--0
0.00%-1M
200.00%2M
--5M
End cash Position
308.48%1.59B
308.48%1.59B
-53.72%690M
-71.74%351M
18.63%834M
-15.80%389M
-15.80%389M
89.69%1.49B
-40.66%1.24B
-72.28%703M
Free cash flow
-51.81%-3.31B
12.07%-1.09B
-128.25%-913M
-76.69%-1.23B
-154.67%-82M
48.30%-2.18B
42.07%-1.23B
80.84%-400M
-73.75%-695M
-62.78%150M
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
--
--
--
--
--
--
--
--
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(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 -21.08%4.91B25.34%1.37B-26.58%1.02B-61.92%669M-6.52%1.85B444.48%6.22B447.92%1.09B253.14%1.39B132.10%1.76B23.21%1.98B
Net income from continuing operations -3.26%3.5B15.54%989M-11.12%759M18.34%871M-24.83%881M58.34%3.62B109.80%856M52.23%854M11.68%736M78.39%1.17B
Operating gains losses 15.88%-1.81B-21.00%-582M3.88%-471M27.79%-421M44.01%-332M-238.11%-2.15B-281.51%-481M-42.86%-490M-64.23%-583M-193.56%-593M
Depreciation and amortization 9.43%2.44B8.68%626M9.06%614M9.84%603M10.20%594M10.30%2.23B10.98%576M11.26%563M9.58%549M9.33%539M
Deferred tax -108.03%-20M1,253.33%203M-112.36%-189M-344.29%-171M-45.85%137M-36.48%249M200.00%15M-1,212.50%-89M118.75%70M-27.09%253M
Other non cash items 242.86%20M165.00%13M-52.00%12M73.91%-12M-74.07%7M-125.00%-14M-322.22%-20M146.30%25M-190.20%-46M-46.00%27M
Change In working capital -173.29%-612M-86.24%-406M-131.18%-29M-162.99%-446M6.75%269M120.76%835M87.64%-218M104.76%93M305.22%708M514.63%252M
-Change in receivables -29.76%118M----------------127.27%168M----------------
-Change in inventory 7.50%-74M-----------------370.59%-80M----------------
-Change in payables and accrued expense 51.48%-131M-----------------162.79%-270M----------------
-Change in other current assets -372.73%-30M----------------100.68%11M----------------
-Change in other current liabilities -88.82%142M----------------457.02%1.27B----------------
-Change in other working capital -141.29%-637M67.27%-431M-131.18%-29M-162.99%-446M6.75%269M89.18%-264M-879.29%-1.32B104.06%93M296.12%708M514.63%252M
Cash from discontinued investing activities
Operating cash flow -21.08%4.91B25.34%1.37B-26.58%1.02B-61.92%669M-6.52%1.85B444.48%6.22B447.92%1.09B253.14%1.39B132.10%1.76B23.21%1.98B
Investing cash flow
Cash flow from continuing investing activities -4.61%-9.12B-17.00%-2.82B-13.01%-2.13B18.41%-2.06B-11.19%-2.11B-72.97%-8.72B-29.96%-2.41B-190.59%-1.88B-102.89%-2.53B-46.90%-1.9B
Capital expenditure reported 2.17%-8.22B-5.47%-2.45B-7.98%-1.94B22.63%-1.9B-5.63%-1.93B-56.75%-8.4B-27.85%-2.32B-51.99%-1.79B-111.93%-2.45B-51.99%-1.83B
Net investment purchase and sale -182.48%-935M-331.87%-393M-117.78%-196M-108.43%-173M-158.21%-173M-5.41%-331M-133.33%-91M4.26%-90M13.54%-83M21.18%-67M
Net other investing changes 91.67%23M500.00%12M400.00%3M0.00%9M-150.00%-1M-98.10%12M--2M-100.16%-1M12.50%9M300.00%2M
Cash from discontinued investing activities
Investing cash flow -4.61%-9.12B-17.00%-2.82B-13.01%-2.13B18.41%-2.06B-11.19%-2.11B-72.97%-8.72B-29.96%-2.41B-190.59%-1.88B-102.89%-2.53B-46.90%-1.9B
Financing cash flow
Cash flow from continuing financing activities 124.22%5.42B966.97%2.36B95.41%1.45B-29.71%918M363.58%700M-35.99%2.42B-88.01%221M195.22%741M2,678.72%1.31B-90.78%151M
Net issuance payments of debt 147.95%4.78B266.91%1.49B578.85%1.49B-25.96%1.1B99.43%700M-54.21%1.93B-82.39%405M-148.45%-312M249.65%1.48B-84.43%351M
Net common stock issuance 940.71%1.18B721.38%1.19B800.00%7M--8M3.23%-30M123.84%113M--145M0.00%-1M--086.10%-31M
Cash dividends paid -1.05%-1.54B-1.01%-400M-1.33%-380M-1.26%-401M-0.56%-362M-3.60%-1.53B-3.66%-396M-4.46%-375M-3.13%-396M-3.15%-360M
Net other financing activities -46.85%1.01B20.90%81M-77.12%327M-2.74%213M105.24%392M25.48%1.91B189.33%67M4,430.30%1.43B-86.90%219M524.44%191M
Cash from discontinued financing activities
Financing cash flow 124.22%5.42B966.97%2.36B95.41%1.45B-29.71%918M363.58%700M-35.99%2.42B-88.01%221M195.22%741M2,678.72%1.31B-90.78%151M
Net cash flow
Beginning cash position -15.80%389M-53.72%690M-71.74%351M18.63%834M-15.80%389M-20.48%462M89.69%1.49B-40.66%1.24B-72.28%703M-20.48%462M
Current changes in cash 1,635.44%1.21B181.76%901M36.80%342M-188.27%-474M88.14%444M33.05%-79M-238.04%-1.1B119.14%250M221.77%537M-87.93%236M
Effect of exchange rate changes -316.67%-13M---2M-200.00%-3M-550.00%-9M-80.00%1M700.00%6M--00.00%-1M200.00%2M--5M
End cash Position 308.48%1.59B308.48%1.59B-53.72%690M-71.74%351M18.63%834M-15.80%389M-15.80%389M89.69%1.49B-40.66%1.24B-72.28%703M
Free cash flow -51.81%-3.31B12.07%-1.09B-128.25%-913M-76.69%-1.23B-154.67%-82M48.30%-2.18B42.07%-1.23B80.84%-400M-73.75%-695M-62.78%150M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------
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