PPL Corp (PPL)
34.81 x 1 35.20 x 1
Post-market by (Cboe BZX)
34.98 +0.38 (+1.10%) 03/27/25 [NYSE]
34.81 x 1 35.20 x 1
Post-market 34.81 -0.17 (-0.49%) 16:27 ET
for Thu, Mar 27th, 2025
Fiscal Year End Date: 12/31
(Values in U.S. thousands)
12-2024 | 12-2023 | 12-2022 | 12-2021 | 12-2020 | |
Cash Flows From Operating Activities | |||||
Net Income | 888,000 | 740,000 | 756,000 | -1,480,000 | 1,469,000 |
Depreciation Amortization | 1,357,000 | 1,335,000 | 1,233,000 | 1,121,000 | 1,080,000 |
Income taxes - deferred | 124,000 | 249,000 | 163,000 | 97,000 | 169,000 |
Accounts receivable | 254,000 | -170,000 | -176,000 | -14,000 | -70,000 |
Accounts payable and accrued liabilities | -41,000 | -72,000 | 358,000 | 24,000 | -1,000 |
Other Working Capital | 4,000 | -595,000 | -403,000 | -81,000 | -89,000 |
Other Operating Activity | -246,000 | 271,000 | -201,000 | 2,603,000 | 188,000 |
Operating Cash Flow | $2,340,000 | $1,758,000 | $1,730,000 | $2,270,000 | $2,746,000 |
Cash Flows From Investing Activities | |||||
PPE Investments | -2,805,000 | -2,390,000 | -2,155,000 | -1,973,000 | -2,270,000 |
Net Acquisitions | N/A | N/A | -3,514,000 | 10,560,000 | N/A |
Other Investing Activity | -13,000 | 7,000 | 15,000 | -630,000 | -988,000 |
Investing Cash Flow | $-2,818,000 | $-2,383,000 | $-5,654,000 | $7,957,000 | $-3,258,000 |
Cash Flows From Financing Activities | |||||
Change In Short Term Borrowing | -689,000 | 7,000 | 916,000 | -726,000 | 30,000 |
Debt Issued | 1,894,000 | 3,252,000 | 850,000 | 650,000 | 2,148,000 |
Debt Repayment | 0 | -1,854,000 | -264,000 | -4,906,000 | -975,000 |
Common Stock Repurchased | N/A | N/A | N/A | -1,003,000 | 0 |
Dividend Paid | -747,000 | -704,000 | -787,000 | -1,279,000 | -1,275,000 |
Other Financing Activity | -23,000 | -51,000 | -6,000 | -126,000 | 458,000 |
Financing Cash Flow | $435,000 | $650,000 | $709,000 | $-7,390,000 | $386,000 |
Exchange Rate Effect | N/A | N/A | N/A | 8,000 | 17,000 |
Beginning Cash Position | 382,000 | 357,000 | 3,572,000 | 443,000 | 660,000 |
End Cash Position | 339,000 | 382,000 | 357,000 | 3,572,000 | 443,000 |
Net Cash Flow | $-43,000 | $25,000 | $-3,215,000 | $3,129,000 | $-217,000 |
Free Cash Flow | |||||
Operating Cash Flow | 2,340,000 | 1,758,000 | 1,730,000 | 2,270,000 | 2,746,000 |
Capital Expenditure | -2,805,000 | -2,390,000 | -2,155,000 | -1,973,000 | -2,270,000 |
Free Cash Flow | -465,000 | -632,000 | -425,000 | 297,000 | 476,000 |