Vistra Corp.VST

Market cap
$57.2B
P/E ratio
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Cash and cash equivalents1,4876363004061,3254553,4851,188
Restricted cash-------28
Total trade accounts receivable — net5821,0871,3651,2791,3972,0591,6741,982
Income taxes receivable----152768
Inventories253412469515610570740970
Derivative Instruments and Hedges, Assets1907301,3337482,5134,5383,6452,587
Margin Deposit Assets303612022571,2633,1371,244406
Margin deposits posted under affiliate financing agreement------439435
Prepaid expense and other current assets72152298205195293364515
Total current assets2,6733,4354,1143,4297,88311,11611,6378,119
Restricted cash-------6
Investments---1,7592,0491,7292,0354,512
Property, Plant and Equipment, Net4,82014,61213,91413,49913,05612,55412,43218,173
Goodwill1,9072,0682,5532,5832,5832,5832,5832,807
Identifiable intangible assets — net2,5302,4932,7482,4462,1461,9581,8642,213
Derivative Instruments and Hedges, Noncurrent58109136258250702577740
Deferred Income Tax Assets, Net---8381,3021,7101,2239
Other noncurrent assets1625903523323613515511,191
Total assets14,60026,02426,61625,20829,68332,78732,96637,770
Accounts receivable financing--450300-425-750
Long-term debt due currently4419127795254382,286880
Forward repurchase obligation due currently-------703
Trade accounts payable4739459478801,5151,5561,1471,510
Derivative Instruments and Hedges, Liabilities2241,3761,5297893,0236,6105,2583,351
Margin Deposit Liabilities--83339394549
Accrued taxes other than income136182200210207199203209
Accrued interest1677151131143160206193
Asset retirement obligations99156141103104128124142
Other current liabilities297345506471553524547645
Total current liabilities1,3513,6254,5743,0365,84310,3379,8238,432
Margin Deposit Financing With Affiliate------439435
Long-Term Debt and Lease Obligation4,37910,87410,1029,23510,47711,93312,11615,418
Forward Repurchase Obligation To Be Paid, Noncurrent-------632
Derivative And Hedge Liabilities Noncurrent--3966248041,7261,6881,367
Accumulated deferred income taxes---1-11697
Tax Receivable Agreement obligation--45544739451416414
Asset retirement obligations1,8372,2172,0972,3332,3462,3092,4143,936
Other Liabilities, Noncurrent2563409891,1311,4891,0049511,256
Total liabilities8,25818,15718,65616,84721,39127,86927,64432,187
Preferred sock, liquidation preference-------1,000
Preferred Stock, Value, Issued----2,0002,0002,4762,476
Common Stock, Value, Issued45555555
Treasury stock, at cost (208,998,299 and 192,178,156 shares at December 31, 2024 and 2023, respectively)---9739731,5583,3954,6625,912
Additional paid-in-capital7,7659,3299,7219,7869,8249,92810,0959,435
Accumulated deficit-1,410-1,449-764-399-1,964-3,643-2,613-454
Accumulated other comprehensive income-17-22-30-48-167620
Stockholders' equity6,3427,8677,9608,3718,2924,9185,3225,583
Noncontrolling interest in subsidiary-41-101161513
Total equity-7,8677,9608,3618,2924,9185,3225,583
Total liabilities and equity14,60026,02426,61625,20829,68332,78732,96637,770