AMEREN CORP (AEE) Cash flow

Market cap
$14.1B
P/E ratio
20.7x
2010/122011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/122025/12
Depreciation & amortization7837477356667107778358769381,0021,0851,2191,4381,4321,5241,612
Stock-based compensation---27252417172020212224262828
Cash from operations 1,8421,8781,6901,6931,5572,0212,1242,1042,1702,1701,7271,6612,2632,5642,7633,353
Capital expenditures-1,031-1,030-1,240-1,379-1,785-1,917-2,076-2,132-2,286-2,411-3,233-3,479-3,351-3,597-4,319-4,128
Cash from investing -1,112-1,048-1,310-1,440-1,717-1,951-2,141-2,205-2,336-2,435-3,329-3,528-3,370-3,798-4,456-4,145
Repurchases of common stock----------------
Proceeds from issuance of term debt, net--8822788981,1973891,3451,3521,5272,1831,9971,4672,2952,5351,960
Cash from financing -807-1,120-426-149141246-2651022053341,7271,7211,1681,2901,749884
Free cash flow
FCF margin (%)-
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