Quanta Services Inc (PWR)

Industry Engineering & Construction

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

$342.48

Buy

$342.92

arrow-up$2.25 (+0.66%)

Quanta Services Inc is a provider of specialty contracting services. The company offers infrastructure solutions to the electric power and oil and gas industries in North America and in select international markets.
Prices updated at 16 May 2025, 18:51 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
9,466m11,171m12,112m11,203m12,980m17,074m20,882m23,673m
1,242m1,480m1,600m1,661m1,953m2,529m2,937m3,511m
432m578m582m609m632m838m1,093m1,303m
4.565.184.815.444.874.915.235.50
315m293m402m446m486m491m745m905m
591m741m919m918m1,113m1,473m1,771m2,157m
Sales, General and administrative778m858m956m975m1,156m1,337m1,555m1,825m
Interest expenses21m37m67m45m69m124m187m203m
Provision for income taxes36m162m165m119m131m192m219m285m
Operating expenses810m902m1,018m1,052m1,321m1,691m1,844m2,208m
Income before taxes354m458m572m571m623m704m970m1,212m
Net income available to common shareholders315m293m402m446m486m491m745m905m
2.021.922.763.153.453.425.136.16
Net interest income-20m-35m-66m-43m-66m-122m-176m-170m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)21.92.733.073.343.3256.03
Free cash flow per share0.72590.752-1.70868.52991.94332.06654.924512.066
Book value/share24.308627.092227.447330.021332.465736.353741.147547.8784
Debt equity ratio0.1768980.2887030.3675580.3114780.7618680.7177430.6138950.590636

Balance sheet

20172018201920202021202220232024
Current assets2,870m3,326m3,831m3,588m4,733m5,536m7,677m7,851m
Current liabilities1,492m1,806m2,263m2,139m3,165m3,406m5,213m6,029m
Total capital4,462m4,645m5,342m5,518m8,837m9,076m9,936m11,417m
Total debt672m1,106m1,656m1,453m4,002m3,975m4,464m4,479m
Total equity3,792m3,604m4,050m4,344m5,112m5,383m6,272m7,318m
Total non current liabilities--------
Loans671m1,041m1,292m1,174m3,724m3,692m3,664m4,100m
Total assets6,480m7,076m8,332m8,398m12,855m13,464m16,237m18,684m
Total liabilities--------
Cash and cash equivalents138m79m165m185m229m429m1,290m742m
Common stock153m141m142m138m143m143m146m148m

Cash flow

20172018201920202021202220232024
Cash at beginning of period112m144m83m170m187m232m433m1,295m
Cash dividends paid---23m-29m-34m-41m-48m-54m
128m51m264m855m196m702m1,141m1,477m
Investments (gains) losses-576m-403m-618m-499m-2,899m-617m-990m-2,294m
138m83m170m187m232m433m1,295m746m
Net income--------
372m359m527m1,116m582m1,130m1,576m2,081m
-245m-308m-262m-261m-387m-429m-435m-604m
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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