PPL CorpPPL

Market cap
$4.3B
P/E ratio
2010/122011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Stock-based compensation----64--38263629--3346
Cash from operations 2,0332,5072,7642,8573,4032,6152,8902,4612,8212,4272,7462,2701,7301,7582,340
Capital expenditures-1,597-2,487-3,105-4,212-4,090-3,533-2,920-3,133-3,238-3,083-3,249-1,973-2,155-2,390-2,805
Cash from investing -8,229-7,952-3,123-4,295-3,329-3,439-2,918-3,156-3,361-3,080-3,2588,564-5,654-2,383-2,818
Repurchases of common stock---74-------1,003---
Proceeds from issuance of term debt, net4,6425,7451,2232,0382962,2361,3421,5151,0591,4652,1676508503,2521,894
Repayments of term debt201,2101087475461,0009301682773001,1724,6062641,854-
Cash from financing 6,3075,767481,631583482-439824690836386-7,344709650435
Free cash flow
FCF margin (%)