Entergy Corporation

NYSE:ETR

127.68 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 132.548224.164442.5591,759.099425.722480.975781.2731,187.8441,350.9611,422.026739.126532.569694.4381,294.4721,709.5511,920.4911,273.0011,016.152221.77379.136692.2331,335.328751.5731,382.4241,213.71,184.5830.5388.7544.6622563.7
Kortetermijnbeleggingen 000000000045.88546.040002.8785.27200000000000000
Liquide middelen en kortetermijnbeleggingen 132.548224.164442.5591,759.099425.722480.975781.2731,187.8441,350.9611,422.026785.011578.609694.4381,294.4721,709.5511,920.4911,273.0011,016.152221.77379.136692.2331,335.328751.5731,382.4241,213.71,184.5830.5388.7544.6622563.7
Nettovorderingen 1,393.4551,495.2571,370.3561,285.7271,208.5921,114.4051,212.951,170.1671,068.91,103.2551,172.1861,001.7151,001.8681,035.582980.8271,481.0491,176.0711,127.5931,535.6341,213.7611,005.529861.762833.0321,302.409787.31,672.41,272776.4692.9651.8672.7
Voorraad 1,611.7681,330.941,196.091,135.119970.465870.147905.865878.1231,091.1671,124.0181,123.9641,142.3611,096.8881,074.4281,022.557992.315900.96798.096817.127696.658659.403622.367558.141519.036544.9634.7637.8601.4493.4459.2470.6
Overige vlottende activa 213.016190.611614.59379.954441.213234.326156.333193.448344.872343.22361.0416.8874.674121.00483.098766.534608.215383.5931,481.761,118.563562.079386.126537.938754.146673.2163.7431596584.3479.4468.1
Totaal vlottende activa 3,660.8694,095.0263,623.5954,559.8993,045.9922,958.0643,285.3313,684.2684,067.4124,389.6333,929.6913,665.7923,610.2734,729.2974,534.1615,160.3893,958.2473,325.4344,056.2943,108.1182,919.2443,205.5832,680.6843,958.0153,219.13,655.33,171.32,362.52,315.22,212.42,175.1
Niet-vlottende activa:
Materiële vaste activa, netto 44,322.36942,945.78842,739.18739,410.32736,012.00932,716.09330,367.20228,624.71228,513.06429,341.90628,291.63527,990.81825,869.72124,106.20223,637.06622,429.11420,974.2719,650.80319,197.04518,695.63118,298.79717,194.95217,264.02816,496.62515,500.815,328.618,132.816,223.115,820.815,91716,021.7
Goodwill 374.099377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.1720000377.17200000000000
Immateriële activa 0000000000000000000000000000000
Goodwill en immateriële activa 374.099377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172377.172000000000
Langetermijnbeleggingen 4,863.714,121.8645,536.027,253.2156,404.036,920.1647,212.1915,724.0955,354.2945,407.1664,943.4944,236.8464,249.334,042.3593,250.7636679229297-76.89900000000000
Belastingvorderingen 16.36784.154.18676.28964.46154.593178.204117.88554.90348.35162.01137.74819.003115.319147.4967.3871.7542.9241.89876.89900000000000
Overige niet-vlottende activa 6,465.9826,971.2417,124.0826,562.315,820.2485,248.985,287.0497,376.3026,280.8366,963.6265,802.4436,876.7926,563.775,716.7275,417.9398,576.7568,252.5597,497.3986,921.866,129.8566,958.9976,170.2625,965.5995,110.5874,265.23,864.15,696.64,380.74,129.94,484.14,679.9
Totaal niet-vlottende activa 56,042.52754,500.16555,830.64753,679.31348,677.9245,317.00243,421.81842,220.16640,580.26942,138.22139,476.75539,519.37637,078.99634,357.77932,830.43631,456.42929,684.75527,757.29726,794.97525,202.65925,634.96623,742.38623,229.62721,607.21219,76619,192.723,829.420,603.819,950.720,401.120,701.6
Totaal activa 59,703.39658,595.19159,454.24258,239.21251,723.91248,275.06646,707.14945,904.43444,647.68146,527.85443,406.44643,185.16840,689.26939,087.07637,364.59736,616.81833,643.00231,082.73130,851.26928,310.77728,554.2126,947.96925,910.31125,565.22722,985.122,84827,000.722,966.322,265.922,613.522,876.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,566.7451,777.592,610.1322,739.4371,499.8611,496.0581,452.2161,285.5771,071.7981,166.4311,173.3131,217.181,069.0961,181.099998.2281,475.7451,031.31,122.5961,655.787896.528796.572855.446592.5291,204.227493.5522.1915.8554.6460.4471.1413.7
Kortlopende schulden 3,237.2283,136.6582,240.5062,791.5042,741.7392,593.9652,339.817782.334711.4311,500.291,506.3051,518.3982,304.695332.964954.484761.8871,174.409359.861274.44626.604524.7231,345.4931,183.1411,009.145315.3728.3987.4366.3755.4672.9559.7
Belastingschulden 434.213424.091419.828441.011233.455254.241214.967181.114210.077128.108191.093333.14278.23540.14258.970000000000000000
Uitgestelde opbrengsten 446.146424.723395.184401.512409.171411.505401.33403.311419.407412.166370.997359.078351.741335.058323.34218.94417.80314.80816.93222.3200000699.20008880
Overige kortlopende verplichtingen 1,146.3731,030.476944.921,128.053969.692942.016842.844728.874887.322770.0041,009.957994.2061,212.737794.939917.9431,509.3181,033.242967.8651,180.757586.931960.928971.251,428.251,224.7791,345.60.2898.9961.7884.3-0.1796.5
Totaal kortlopende verplichtingen 6,396.4926,369.4476,190.7427,060.5065,620.4635,443.5445,036.2073,200.0963,089.9583,848.8914,060.5724,088.8624,938.2692,644.063,193.9973,765.8943,256.7542,465.133,127.9142,332.3832,282.2233,172.1893,203.923,438.1512,154.41,949.82,802.11,882.62,100.12,031.91,769.9
Langlopende verplichtingen:
Langetermijnschulden 23,008.83923,623.51224,841.57221,205.76117,078.64315,538.68114,337.27414,492.23713,138.55712,529.81912,171.36711,954.85910,082.13411,483.34211,059.97111,517.3829,948.5738,986.128,999.4987,162.8917,476.8387,242.9427,502.1138,148.9666,818.16,816.89,304.37,838.27,080.87,367.47,678.8
Uitgestelde opbrengsten niet-vlottend 9,986.343010,982.47813,630.31813,305.07913,142.41214,261.26811,286.23610,171.35410,109.0887,875.9748,686.8717,730.4433,326.3785,961.221-343.093-220.438-188.033-175.005-146.06-153.898-155.943-181.085-201.873-205.5-220.2-236-247.4-303.7-273.90
Uitgestelde belastingverplichtingen niet-vlottend 4,451.9555,030.0574,918.7724,574.2664,608.3034,320.2534,686.1377,722.4378,541.1659,380.6828,988.48,585.5778,381.1999,275.8587,730.7146,891.346,723.2186,179.255,655.7785,466.6095,199.7614,698.7254,045.7543,743.3983,830.24,147.55,154.94,378.44,390.34,5654,622.4
Overige niet-vlottende verplichtingen 1,116.66110,507.283815.284807.219852.749985.871393.7481,121.619449.856557.649583.667577.91501.9543,861.038711.3346,507.3715,760.6475,097.6635,054.7294,833.564,711.2993,793.2763,523.2183,032.5092,711.22,390.92,608.81,674.81,825.61,571.5-12,301.2
Totaal niet-vlottende verplichtingen 38,563.79839,160.85241,558.10640,217.56435,844.77433,987.21733,678.42734,622.52932,300.93232,577.23829,619.40829,805.21726,695.7327,946.61625,463.2424,57322,21220,07519,53517,31717,23415,57914,89014,72313,15413,13516,83213,64412,99313,23012,301.2
Totaal passiva 44,960.2945,530.29947,748.84847,278.0741,465.23739,430.76138,714.63437,822.62535,390.8936,426.12933,679.9833,894.07931,633.99930,590.67628,657.23728,339.19725,469.16922,539.93122,662.54819,648.73419,516.21518,536.06817,878.76918,161.11615,092.514,87019,118.715,397.414,839.815,261.915,290.5
Eigen vermogen:
Preferente aandelen 35219.41219.413535219.402197.80319.7819.7894949419.7819.7819.78311.029311.162344.913445.974365.356334.337358.664360.522400.446773.2532.5850497954.41,000.81,050.1
Gewone aandelen 2.812.7972.722.72.72.6162.5482.5482.5482.5482.5482.5482.5482.5482.5482.4822.4822.4822.4822.4822.4822.4822.4822.4812.5341341433.22.32.32.3
Ingehouden winsten 11,940.38410,502.04110,240.5529,897.1829,257.6098,721.157,977.7028,195.5719,393.91310,169.6579,825.0539,704.5919,446.968,689.4018,043.1227,382.7196,735.9656,113.0425,428.4074,984.3024,502.5083,938.6933,638.4483,190.6392,786.52,526.92,157.82,341.72,335.62,223.72,310.1
Overige gereserveerde algehele resultaten -162.46-191.754-332.528-449.207-446.92-557.173-23.531-34.9718.951-42.307-29.324-293.083-168.452-38.212-75.185-112.6988.32-100.512-343.819-93.453-7.795-22.36-88.794-75.033-73.8-46.7-69.821.7-8,259.3-7,639.50
Overige totale aandeelhoudersvermogen 2,841.9132,434.4911,507.131,440.4671,375.286458.31-162.007-101.119-168.401-216.173-259.811-310.967-245.566-177.117717.095694.0891,115.9042,182.8752,655.6773,403.3564,206.4633,919.4223,903.8843,885.5784,404.24,624.34,6034,275.312,393.111,764.34,223.7
Totaal eigen vermogen van aandeelhouders 14,657.64712,966.98511,637.28410,926.14210,223.6758,844.3057,992.5158,081.8099,256.79110,007.7259,632.4669,197.0899,055.278,496.48,707.368,277.6218,173.8338,542.88,188.7218,662.0439,037.9958,196.9017,816.5427,404.1117,892.67,9787,8827,568.97,426.17,351.67,586.2
Totaal eigen vermogen 14,743.10613,064.89211,705.39410,961.14210,258.6759,063.7078,190.3188,284.9949,574.97610,101.7259,726.4669,291.0899,055.278,496.48,707.368,277.6218,173.8338,542.88,188.7218,662.0439,037.9958,411.9018,031.5427,404.1117,892.67,9787,8827,568.97,426.17,351.67,586.2
Totaal passiva en aandeelhoudersvermogen 59,703.39658,595.19159,454.24258,239.21251,723.91248,275.06646,707.14945,904.43444,647.68146,527.85443,406.44643,185.16840,689.26939,087.07637,364.59736,616.81833,643.00231,082.73130,851.26928,310.77728,554.2126,947.96925,910.31125,565.22722,985.122,84827,000.722,966.322,265.922,613.522,876.7