Entergy Corporation

NYSE:ETR

127.68 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 2,362.311,097.1381,118.7191,406.6531,258.244862.555425.353-564.503-156.734960.257730.572868.3631,367.3721,270.3051,251.051,220.5661,134.8491,132.602923.758933.049950.467623.072750.507710.915595785.6300.9420484.6341.8458.1
Afschrijvingen & Amortisatie 2,244.4792,190.3712,242.9442,257.752,182.3132,040.5552,078.5782,123.2912,117.2362,127.8922,012.0761,771.6491,745.4551,705.3311,281.8381,220.26932.2881,035.1531,001.8521,045.12200000000000
Uitgestelde Inkomstenbelasting -707.822-47.154248.719-131.114193.95-256.848529.053-836.257-820.35596.935311.789-25.9-280.029718.987868.649333.948476.241738.643626.813275.4581,189.531-256.66487.752124.457-204.6-64.5-25376.9-31-123.517.7
Aandelen Gebaseerde Vergoedingen 40.245.445.341.637.338.537.438.736.536.327.915.40000000000000000000
Verandering in Werkkapitaal 499.965-1,735.977-348.229-7.014-52.10796.187-3,577.822-131.341146.11392.748-298.786-211.624296.019-144.424-104.64812.205-424.035989.821-586.918203.097-876.942665.082961.858150.10523.4-92.5167-291.7-149.8254.8-89.2
Vorderingen 3.627-35.131-116.45275.922-121.074143.0389.21-3.8887.87824.318-49.252-29.0465.488-40.05319.44878.65311.563408.042-367.351-210.41900000000000
Voorraden -45.1666.94318.359-27.458-28.17345.839-3.04338.21-12.3763.5244.873-11.6045.393-10.66519.291-7.561-10.44513.097-83.125-16.749-14.0151.03-3.419-20.447-1.428.420.3-17.2-2917-1.2
Crediteuren -135.048-102.013269.797137.457-71.89897.312101.802174.421-135.211-12.99694.436-6.779-131.97216.635-14.251-23.225-26.746-83.884303.19495.30600000000000
Overig Werkkapitaal 676.552-1,605.776-519.933-192.935169.038-190.002-3,685.791-340.084285.82277.902-348.843-164.195417.108-310.341-129.136-35.662-398.407652.566-439.636334.959-862.927664.052965.277170.55224.8-120.9146.7-274.5-120.8237.8-88
Overige Niet-Contante Posten 531.8271,035.712-242.159-621.974-1,199.489-579.7062,961.322-312.114457.902-1,621.8351,817.468-437.0180420.055-363.731525.656234.824-46.506-417.818-133.47742.7641,150.213415.431982.37893.61,050.51,509.71,252.31,092.91,064.7687.8
Kasstroom uit Operationele Activiteiten 4,294.3282,585.492,300.7132,689.8662,816.6272,385.2472,623.52,998.6993,291.1843,889.5613,189.2192,940.2853,128.8173,926.0812,933.1583,324.3282,559.773,419.4151,459.8542,929.3192,005.822,181.7032,215.5481,967.8471,307.41,679.11,724.61,457.51,396.71,537.81,074.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -4,711.625-5,288.739-6,422.112-5,156.861-4,631.505-4,271.217-4,001.618-4,044.257-2,994.464-2,656.739-2,822.718-3,688.966-3,327.657-2,381.997-2,456.719-2,479.078-2,322.973-2,000.463-1,620.161-1,410.61-1,568.943-1,530.301-1,380.417-1,493.717-1,195.8-1,246.3-936.4-695.8-825.9-856.1-630.4
Netto Overnames -4,440.6520-6,087.296-4,694.076-4,197.66724.902-3,607.532-2,780.222487.40610.1147.922-2,674.656.531228.17139.55400000000000-2,039.4-1,156.10011.3
Aankoop van Beleggingen -1,201.863-1,712.229-5,547.015-3,215.812-4,208.87-6,540.176-3,260.674-2,475.572-2,550.387-1,942.463-2,230.054-2,181.314-1,493.065-3,098.991-2,667.172000-1,591.025000-1500-321.400000121.5
Verkoop/verval van Beleggingen 1,082.7221,636.6865,555.9723,107.8124,151.676,484.7913,163.8252,408.922,492.1761,872.1152,031.5522,074.0551,360.34634.8812,664.6770001,788.885001500321.35100000017
Overige Investeringsactiviteiten 4,642.441-345.6156,321.1755,186.6314,376.13195.7133,864.953,041.083-43.513-237.501271.7052,831.0786.9922,643.713325.266-111.018224.515101.314-570.302220.535-214.187-8.162-694.303-641.6461,1511,383.2192.777.563.4116.7-68.8
Kasstroom uit Investeringsactiviteiten -4,628.977-5,709.897-6,179.276-4,772.306-4,510.242-4,105.987-3,841.049-3,850.048-2,608.782-2,954.488-2,601.593-3,639.797-3,446.853-2,574.223-2,094.394-2,590.096-2,098.458-1,899.149-1,992.608-1,140.075-1,783.13-1,388.463-2,224.72-1,814.012-366.2136.9-2,783.1-1,774.4-762.5-739.4-549.4
Financieringsactiviteiten:
Schuldaflossingen -551.906-5,995.903-3,480.6-4,466.823-1,685.016-1,069.798-223.709-5,311.324-3,461.518-776.756-3,814.666-3,130.233-2,443.873-4,186.639-1,868.169000000000000-490.7000
Uitgifte van Gewone Aandelen 140.472884.597206.75342.6734.7602.58780.72933.11424.366194.86624.52762.88646.18551.16328.19834.77588.83143.809106.068170.237217.521130.06164.34541.90815.319.3687.7244.1000
Terugkoop van Gewone Aandelen 0000-50-53.868-20.599-115.283-194.092-183.27104,166.036-264.94-878.576-614.972-512.351-1,273.405-768.074-911.907-1,021.446-11.585-120.357-76.469-707.864-343.6-20.4-124.4-157.5-46.6-168.6-76.6
Uitgekeerde Dividenden -936.512-859.996-793.441-766.844-728.011-647.704-628.885-632.624-618.655-596.117-611.839-611.538-610.538-623.917-596.914-593.07-533.202-477.802-478.98-451.426-386.338-322.703-293.166-303.419-335.1-420.2-489.5-405.3-408.6-410.2-287.5
Overige Financieringsactiviteiten 1,590.9798,877.314-143.455-302.664664.919998.3481,216.1546,714.3493,496.432-249.5414,021.154512,990.8813,870.6942,003.469999.8891,496.19118.341,781.209-369.224-688.728100.389-316.714990.193-247.6-1,042.21,437.7981.3-259.3-169.423.1
Kasstroom uit Financieringsactiviteiten 243.0332,906.0122,562.0233,415.8171,638.3621,420.442810.978688.232-753.467-252.173-380.824538.151-282.285-1,767.275-1,048.388-70.757-221.586-1,083.727496.39-1,671.859-869.13-212.61-622.00420.818-911-1,463.51,511.5171.9-714.5-748.2-341
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 81.267000000000-0.245-0.5080.2870.338-1.3163.2880.03-3.207-0.602-1.8823.3453.1250.325-5.948-0.91.6-11.20.100-0.1
Netto Kasstroomverandering -91.616-218.395-1,316.541,333.377-55.253-300.298-406.571-163.117-71.065682.9206.557-161.869-600.034-415.079-210.94666.763239.756433.332-36.966115.503-643.095583.755-630.851168.70529.2354441.8-144.9-80.350.2183.9
Kaspositie aan het Einde van de Periode 132.548224.164442.5591,759.099425.722480.975781.2731,187.8441,350.9611,422.026739.126532.569694.4381,294.4721,709.5511,920.4911,273.0011,016.152582.82807.736692.2331,335.328751.5731,382.4241,213.71,184.5830.5388.7533.6613.9563.7