Consolidated Edison
NYSE:ED
$ 110,03
+ $0,15 (0,14%)
110,03 $
+$0,15 (0,14%)
End-of-day quote: 03/25/2026

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

$5,70
Earnings Per Share
$46,83
Revenue Per Share
53,25%
Gross Margin %
$39,70 B
Market Cap
$25,55 B
Long-Term Debt
Earnings Per Share
$5,70
Revenue Per Share
$46,83
Gross Margin %
53,25%
Market Cap
$39,70 B
Long-Term Debt
$25,55 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 $5,70 $5,40 $5,07 $4,57 $4,39 $4,18 $4,38 $4,33 $4,12 $3,99 $4,08 $3,89 $3,79 $3,75 $3,62 $3,45 $3,09 $3,00 $3,49 $2,96
Earnings Earnings $2,06B $1,87B $1,75B $1,62B $1,55B $1,43B $1,46B $1,39B $1,28B $1,22B $1,20B $1,14B $1,11B $1,10B $1,06B $1,01B $869,37M $821,55M $949,77M $762,64M
RPS Revenue Per Share $46,83 $44,00 $42,44 $44,13 $38,62 $35,76 $37,67 $38,42 $38,77 $39,58 $42,76 $44,11 $42,18 $41,61 $44,18 $45,64 $46,32 $49,60 $48,21 $47,11
Revenue Revenue $16,92B $15,26B $14,66B $15,67B $13,68B $12,25B $12,57B $12,34B $12,03B $12,08B $12,55B $12,92B $12,35B $12,19B $12,94B $13,33B $13,03B $13,58B $13,12B $12,14B
OCF Operating Cash Flow $4,48B $3,61B $2,16B $3,94B $2,73B $2,20B $3,13B $2,70B $3,37B $3,46B $3,28B $2,83B $2,55B $2,60B $3,14B $2,38B $2,47B $629,00M $1,56B $1,35B
FCF Free Cash Flow $122,00M $1,39B $-1,47B $-290,00M $-1,25B $-1,74B $-567,00M $-802,00M $-166,00M $-1,70B $-76,00M $-667,00M $-161,00M $530,00M $1,17B $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 17,32% 21,52% 20,98% 19,00% 19,65% 20,01% 20,64% 19,15% 21,69% 20,46% 19,33% 16,75% 18,16% 19,19% 17,38% 15,91% 14,57% 12,21% 14,08% 13,61%
GM % Gross Margin % 53,25% 53,53% 50,50% 49,04% 56,07% 58,38% 53,81% 50,56% 52,10% 49,05% 43,76% 39,57% 41,79% 42,00% 38,15% 35,14% 32,50% 27,53% 29,08% 29,03%
FCFS Free Cash Flow Per Share $0,10 $-3,34 $-6,72 $-0,66 $-3,50 $-5,19 $-1,73 $-3,43 $-0,54 $-5,63 $-0,26 $0,41 $-0,55 $0,75 $3,93 $1,29 $1,04 $-6,15 $-1,35 $-1,98
LT Debt Long-Term Debt $25,55B $24,65B $21,93B $20,15B $22,64B $20,46B $18,56B $17,50B $14,73B $14,74B $12,01B $11,55B $10,49B $10,07B $10,14B $10,67B $9,85B $9,23B $7,61B $8,30B
Sha. Stocks 361,25M 346,71M 345,51M 355,05M 354,09M 342,42M 333,78M 321,08M 310,4M 305,06M 293,59M 292,89M 292,9M 292,88M 292,88M 291,97M 281,35M 273,85M 272,14M 257,65M
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