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PPL

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PPL Corp

Utilities · Electric Services

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Fundamentals · SEC EDGAR · FY 2025-12-31
Revenue & Earnings — fiscal year
$5.8B
2021
$7.9B
2022
$8.3B
2023
$8.5B
2024
$9.0B
2025

Snapshot

SEC EDGAR · FY 2025-12-31
Revenue$9.0B
Net Income$1.2B
Gross Profit
Oper Income$2.1B
EPS (dil)$1.59
Rev/sh$12.02
FCF/sh$-1.86
Book/sh$19.78
Gross M
Oper M23.5%
Profit M13.1%
FCF M-15.5%
ROE7.9%
ROA2.6%
ROIC5.1%
R&D/Rev
Rev Y/Y6.9%
Rev 3Y CAGR4.6%
EPS Y/Y32.5%
EPS 3Y CAGR15.9%
FCF 3Y CAGR
Payout67%
Div/sh$1.09
Shs Chg Y/Y+0.5%
Current Ratio0.86
Quick Ratio0.74
Debt/Eq1.33
Int Coverage2.6×
Net Debt$18.7B
Total Debt$19.8B
Cash & Eq$1.1B
Total Assets$45.2B
Oper CF$2.6B
Capex$4.0B
Free CF$-1.4B
Buybacks$0
Equity$14.9B
Liabilities
Shs Outstand0.75B
SectorUtilities
🔒 P/E
🔒 Fwd P/E
🔒 P/S
🔒 P/B
🔒 Market Cap
🔒 Div Yield
🔒 52W Range
🔒 Beta
40+ fundamentals — free from SEC EDGAR (public domain). Only the 🔒 price-derived column needs a market-data feed.

Financials — annual

SEC EDGAR · last 5 FY
USDFY2021FY2022FY2023FY2024FY2025
Revenue$5.8B$7.9B$8.3B$8.5B$9.0B
Gross Profit
Operating Income$1.4B$1.4B$1.6B$1.7B$2.1B
Net Income$-1.5B$756.0M$740.0M$888.0M$1.2B
Diluted EPS$-1.93$1.02$1.00$1.20$1.59
Operating Cash Flow$1.5B$1.7B$1.8B$2.3B$2.6B
Free Cash Flow$-429.0M$-425.0M$-632.0M$-465.0M$-1.4B
COMMUNITY · $PPL0 theses
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Fundamentals sourced from SEC EDGAR filings (public domain). For informational purposes only. Not investment advice.

PPL PPL Corp Stock — fundamentals, financials & AI research · AlgoThesis