Public Service Enterprise Group Inc (PEG)

Industry Utilities - Regulated Electric

This stock can be held in an Investment ISA and an Investment Account
Sell

$74.35

Buy

$77.29

arrow-down$-0.30 (-0.39%)

Public Service Enterprise Group Inc operates in the utilities sector. Its primary business involves the production and transmission of power.
Prices updated at 14 May 2025, 23:13 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
9,094m9,696m10,076m9,603m9,722m9,800m11,237m10,290m
3,415m3,402m3,593m3,432m2,997m2,604m4,827m3,541m
1,429m2,244m2,345m2,111m1,762m1,477m3,692m2,359m
15.7123.1423.2721.9818.1215.0732.8622.93
1,574m1,438m1,693m1,905m-648m1,031m2,563m1,772m
3,844m3,676m3,886m4,283m814m2,848m5,093m4,039m
Sales, General and administrative--------
Interest expenses391m476m510m513m500m563m688m841m
Provision for income taxes-306m417m257m396m-441m-29m518m53m
Operating expenses1,986m1,158m1,248m1,321m1,235m1,127m1,135m1,182m
Income before taxes1,268m1,855m1,950m2,301m-1,089m1,002m3,081m1,825m
Net income available to common shareholders1,574m1,438m1,693m1,905m-648m1,031m2,563m1,772m
3.122.853.353.78-1.292.075.153.56
Net interest income-370m-458m-437m-446m-421m-470m-567m-728m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)3.12.833.333.76-1.292.065.133.54
Free cash flow per share-2.1449-2.5444-0.48320.3807-2.4052-3.18881.4753-1.782
Book value/share25.988128.490129.613131.420627.914726.66230.453832.3047
Debt equity ratio0.8715250.9159070.9288890.9226731.0673221.213781--

Balance sheet

20172018201920202021202220232024
Current assets3,312m3,507m3,231m3,630m6,250m4,303m3,373m4,235m
Current liabilities4,168m4,935m5,047m5,522m7,072m6,680m5,057m6,505m
Total capital25,915m27,545m28,832m30,480m29,657m30,224m33,261m13,996m
Total debt13,610m15,478m16,496m17,495m19,629m20,439m20,406m153m
Total equity13,847m14,377m15,089m15,984m14,438m13,729m15,477m-
Total non current liabilities--------
Loans12,068m13,168m13,743m14,496m15,219m16,495m17,784m-
Total assets42,716m45,326m47,730m50,050m48,999m48,718m50,741m54,640m
Total liabilities--------
Cash and cash equivalents313m177m147m543m818m465m54m125m
Common stock505m504m504m504m504m497m498m498m

Cash flow

20172018201920202021202220232024
Cash at beginning of period423m315m199m176m572m863m511m99m
Cash dividends paid-870m-910m-950m-991m-1,031m-1,079m-1,137m-1,196m
-1,046m-1,145m115m68m-1,081m-1,385m481m-1,247m
Investments (gains) losses-4,256m-3,916m-3,145m-2,676m-2,244m-1,101m-2,958m-3,306m
313m199m176m572m863m511m99m154m
Net income--------
3,261m2,913m3,379m3,102m1,736m1,503m3,806m2,133m
-4,307m-4,058m-3,264m-3,034m-2,817m-2,888m-3,325m-3,380m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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