PPL
NYSE:PPL
$ 37,19
+ $0,13 (0,35%)
37,19 $
+$0,13 (0,35%)
Real-time: 03/25/2026 10:24

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

$1,81
Earnings Per Share
$12,03
Revenue Per Share
42,73%
Gross Margin %
$27,84 B
Market Cap
$17,99 B
Long-Term Debt
Earnings Per Share
$1,81
Revenue Per Share
$12,03
Gross Margin %
42,73%
Market Cap
$27,84 B
Long-Term Debt
$17,99 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 $1,81 $1,69 $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
Earnings Earnings $1,36B $1,25B $1,18B $1,04B $772,13M $1,85B $1,88B $1,73B $1,56B $1,67B $1,49B $1,63B $1,55B $1,41B $1,58B $1,52B $736,91M $750,64M $970,76M $854,90M
RPS Revenue Per Share $12,03 $11,46 $11,27 $10,73 $7,86 $9,89 $10,12 $10,80 $10,73 $11,04 $11,36 $17,24 $18,80 $21,08 $21,99 $17,59 $19,99 $21,43 $17,41 $17,92
Revenue Revenue $9,04B $8,46B $8,31B $7,90B $5,78B $7,61B $7,77B $7,79B $7,45B $7,52B $7,67B $11,50B $11,86B $12,29B $12,74B $8,52B $7,56B $8,04B $6,50B $6,90B
OCF Operating Cash Flow $2,89B $2,34B $1,76B $1,73B $2,27B $2,75B $2,43B $2,82B $2,46B $2,89B $2,58B $3,40B $2,86B $2,72B $2,51B $2,03B $1,85B $1,59B $1,57B $1,76B
FCF Free Cash Flow $1,71B $-465,00M $538,00M $-425,00M $297,00M $-503,00M $-656,00M $-417,00M $-710,00M $-30,00M $-918,00M $-687,00M $-1,36B $-341,00M $20,00M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 23,55% 21,31% 21,67% 19,24% 25,63% 28,94% 27,38% 39,94% 41,20% 40,55% 36,98% 36,55% 35,12% 24,94% 24,70% 21,90% 12,32% 22,09% 26,63% 24,78%
GM % Gross Margin % 42,73% 41,34% 40,99% 37,79% 47,55% 50,93% 47,50% 54,69% 56,41% 55,38% 52,39% 52,34% 50,83% 36,80% 34,80% 31,22% 22,19% 31,41% 38,08% 36,19%
FCFS Free Cash Flow Per Share $-1,89 $-0,63 $-0,86 $-0,58 $0,39 $0,62 $0,25 $-0,59 $-0,98 $-0,04 $-1,43 $-0,49 $-1,36 $-0,71 $-0,15 $1,01 $1,67 $-0,43 $-0,11 $0,87
LT Debt Long-Term Debt $17,99B $16,01B $14,67B $12,96B $10,75B $13,70B $20,81B $20,16B $19,94B $17,91B $18,69B $17,20B $20,71B $18,79B $18,05B $12,16B $7,14B $7,14B $6,89B $6,73B
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