CMS Energy
NYSE:CMS
$ 78,58
$0,00 (0,00%)
78,58 $
$0,00 (0,00%)
End-of-day quote: 04/03/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$3,61
Earnings Per Share
$27,87
Revenue Per Share
20,22%
Gross Margin %
$24,20 B
Market Cap
$18,90 B
Long-Term Debt
Earnings Per Share
$3,61
Revenue Per Share
$27,87
Gross Margin %
20,22%
Market Cap
$24,20 B
Long-Term Debt
$18,90 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $3,61 $3,34 $3,11 $2,89 $2,65 $2,67 $2,49 $2,33 $2,17 $2,02 $1,89 $1,77 $1,66 $1,55 $1,45 $1,36 $1,26 $1,25 $0,84 $1,08
Earnings Earnings $1,11B $997,96M $915,71M $841,74M $767,86M $771,44M $706,84M $660,28M $612,81M $564,73M $523,85M $487,56M $441,76M $410,50M $373,04M $342,91M $289,51M $283,28M $189,15M $241,12M
RPS Revenue Per Share $27,87 $25,15 $25,34 $29,51 $25,29 $23,12 $24,11 $24,25 $23,31 $22,89 $23,29 $26,06 $24,67 $23,61 $25,28 $25,51 $27,01 $30,10 $28,71 $30,50
Revenue Revenue $8,54B $7,52B $7,46B $8,60B $7,33B $6,68B $6,85B $6,87B $6,58B $6,40B $6,46B $7,18B $6,57B $6,25B $6,50B $6,43B $6,21B $6,82B $6,46B $6,81B
OCF Operating Cash Flow $2,24B $2,37B $2,31B $855,00M $1,82B $1,28B $1,79B $1,70B $1,71B $1,63B $1,64B $1,45B $1,42B $1,24B $1,17B $959,00M $848,00M $559,00M $27,00M $688,00M
FCF Free Cash Flow $-657,00M $-648,00M $350,50M $-1,52B $-257,00M $-1,04B $-314,00M $-371,00M $40,00M $-43,00M $-78,00M $-130,00M $333,00M $14,00M $287,00M $138,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 20,22% 22,04% 18,96% 16,62% 17,89% 21,00% 18,21% 18,22% 20,69% 20,43% 18,01% 16,05% 17,39% 16,04% 15,42% 14,68% 11,04% 11,53% 6,56% 3,87%
GM % Gross Margin % 20,22% 42,70% 38,35% 32,13% 36,14% 40,98% 36,76% 34,89% 38,02% 36,85% 33,92% 29,10% 30,52% 29,27% 26,97% 26,90% 23,72% 23,15% 33,33% 33,86%
FCFS Free Cash Flow Per Share $7,43 $-2,21 $-3,16 $-5,28 $-0,89 $-3,63 $-1,08 $-1,31 $0,14 $-0,15 $-0,28 $-0,35 $0,36 $0,05 $1,14 $0,56 $0,08 $-1,09 $-5,57 $0,03
LT Debt Long-Term Debt $18,90B $15,19B $14,51B $13,12B $12,05B $11,74B $11,95B $10,62B $9,12B $8,64B $8,40B $8,02B $7,10B $6,71B $6,04B $6,45B $5,90B $6,02B $5,56B $6,38B
Sha. Stocks 306,42M 298,79M 294,44M 291,26M 289,76M 288,93M 283,87M 283,38M 282,4M 279,57M 277,17M 275,46M 266,12M 264,84M 257,27M 252,14M 229,77M 226,62M 225,18M 223,26M
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