$113.03
$0.00 (0.00%)
End-of-day quote: 05/17/2024
NYSE:ETR

Entergy Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$12.15B $13.76B $11.74B $10.11B $10.88B $11.01B $11.07B $10.85B $11.51B $12.49B $11.39B $10.30B $11.23B $11.49B $10.75B $13.09B $11.48B $10.93B $10.11B $9.69B
GM % Gross Margin %
43.87% 38.35% 41.59% 44.78% 39.25% 34.92% 38.82% 40.60% 35.35% 35.03% 34.29% 36.23% 36.17% 36.32% 37.80% 31.09% 32.65% 28.94% 30.91% 31.61%
OM Operating Margin
22.01% 13.84% 17.65% 18.46% 16.28% 10.36% 18.17% 18.78% 14.29% 17.50% 15.30% 16.08% 17.93% 20.00% 21.26% 17.38% 17.91% 16.51% 17.73% 17.61%
EPS Earnings Per Share
$0.00 $6.77 $6.42 $6.02 $5.66 $5.40 $7.31 $7.20 $7.11 $6.00 $5.83 $5.36 $6.23 $7.62 $7.10 $6.67 $6.51 $5.76 $4.72 $4.40 $3.80
Div. Dividends
$4.34 $4.10 $3.86 $3.74 $3.66 $3.58 $3.50 $3.42 $3.34 $3.32 $3.32 $3.32 $3.32 $3.24 $3.00 $3.00 $2.58 $2.16 $2.16 $1.89
PR % Payout Ratio %
64.11% 63.86% 64.12% 66.08% 67.78% 48.97% 48.61% 48.10% 55.67% 56.95% 61.94% 53.29% 43.57% 45.63% 44.98% 46.08% 44.79% 45.76% 49.09% 49.74%
Sha. Shares
212.85m 211.18m 202.65m 200.24m 199.15m 189.06m 180.52m 179.13m 178.39m 179.24m 178.37m 177.81m 176.36m 178.75m 189.12m 189.36m 193.12m 202.67m 207.53m 216.83m
OCF Operating Cash Flow
$4.29B $2.59B $2.30B $2.69B $2.82B $2.39B $2.62B $3.00B $3.29B $3.89B $3.19B $2.94B $3.13B $3.93B $2.93B $3.32B $2.56B $3.45B $1.47B $2.93B
FCF Free Cash Flow
$300.50M $-2479.64M $-4050.93M $-2004.21M $-1381.04M $-1556.76M $-984.03M $-977.21M $264.82M $1.84B $901.63M $265.64M $792.77M $1.60B $535.99M $465.82M $279.54M $1.44B $-421.03M $1.31B
FCFS Free Cash Flow Per Share
$-1.67 $-13.39 $-20.16 $-11.73 $-8.56 $-9.68 $-7.14 $-5.46 $1.96 $7.25 $2.45 $-3.68 $-0.63 $8.62 $2.78 $2.44 $1.42 $6.94 $-2.00 $5.79