$29.59
$0.00 (0.00%)
End-of-day quote: 05/18/2024
NYSE:PPL

PPL Corp Annual Report

Year Year 2023 2022 2021 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2015 2016 2017 2018 2019 2020
Rev. Revenue
$8.31B $7.90B $5.78B $7.85B $7.26B $12.13B $12.74B $8.52B $7.45B $7.86B $6.46B $6.13B $5.54B $5.75B $7.67B $7.52B $7.45B $7.79B $7.77B $7.61B
GM % Gross Margin %
40.99% 36.54% 47.55% 52.34% 50.83% 36.80% 34.80% 31.22% 22.19% 31.41% 38.08% 36.19% 36.25% 35.59% 52.39% 55.38% 56.41% 54.69% 56.08% 58.17%
OM Operating Margin
21.67% 17.98% 25.63% 36.55% 35.12% 24.94% 24.70% 21.90% 12.32% 22.09% 26.63% 24.78% 22.98% 24.24% 36.98% 40.55% 41.20% 39.94% 40.69% 40.66%
EPS Earnings Per Share
$0.00 $1.60 $1.41 $1.05 $2.40 $2.45 $2.40 $2.25 $2.45 $2.21 $2.45 $2.45 $2.42 $2.72 $3.13 $1.95 $2.00 $2.60 $2.22 $2.08 $1.86
Div. Dividends
$0.96 $0.88 $1.66 $1.49 $1.47 $1.47 $1.44 $1.40 $1.38 $1.34 $1.22 $1.10 $0.96 $0.82 $1.50 $1.52 $1.58 $1.64 $1.65 $1.66
PR % Payout Ratio %
60.00% 62.41% 158.10% 60.82% 60.00% 60.74% 52.94% 44.73% 70.77% 67.00% 46.92% 49.55% 46.15% 44.09% 67.87% 62.04% 70.22% 68.33% 67.35% 69.17%
Sha. Shares
737.13m 736.49m 735.11m 665.85m 630.32m 581.94m 578.41m 483.39m 377.18m 374.58m 373.27m 385.04m 380.15m 378m 673.86m 679.73m 693.4m 720.32m 767.23m 768.91m
OCF Operating Cash Flow
$1.76B $1.73B $2.27B $3.40B $2.86B $2.76B $2.51B $2.03B $1.85B $1.59B $1.57B $1.76B $1.39B $1.50B $2.62B $2.89B $2.46B $2.82B $2.43B $2.75B
FCF Free Cash Flow
$538.00M $-425.00M $297.00M $-687.00M $-1355.00M $-341.00M $20.00M $436.00M $627.00M $171.00M $-86.00M $364.00M $577.00M $763.00M $-918.00M $-30.00M $-710.00M $-417.00M $-656.00M $-503.00M
FCFS Free Cash Flow Per Share
$-0.86 $-0.58 $0.39 $-0.49 $-1.36 $-0.71 $-0.15 $1.01 $1.67 $-0.43 $-0.11 $0.87 $1.24 $1.96 $-1.43 $-0.04 $-0.98 $-0.59 $-0.90 $-0.65