Edison International

NYSE:EIX

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

Numbers are in millions (except for per share data and ratios) USD.

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Operating Activities:
Net Income 1,4078249258711,405-3506681,4131,0821,5369791,594241,3039521,2151,0981,1811,1072267701,1352,402-1,943623668.2700717739681
Depreciation & Amortization 2,7212,6332,2882,0291,8031,9402,1152,0982,0051,8151,6221,6341,8891,6401,538000000000000000
Deferred Income Tax 108-17743-296-284-527498190449522345141-1881,139-1,457207-39-1361605571941601,908-1,08652534811591-17216
Stock Based Compensation 464239292921233429402733303022000000000000000
Change In Working Capital -674-52-3,500-1,051-9322,214-170-31,687-512-718344-130-948976-611518636-180-730700-1,9891,2621,109796-14987213443333
Accounts Receivables -349-252-514-283-76-397524964-56-1319-15580000000000000000
Inventory -63-58-21-43-83-49-12814-258010-56-4920-204-121-39-71-274-11-1630-5243639-19-21
Accounts Payables -40836713887288-315035814451456-3152000000000000000
Other Working Capital 146-109-3,103-812-1,0612,333-215-981,616-565-787333-149-741724-407639675-109-703696-1,9781,2781,079801-1735117419354
Other Non Cash Items -162-54184-174-2,483-54562-442-719-2701,018-4122,2813131,0141,3991,6161,9121,1261,0751,6433,021-2,5983,329169594.81,2321,1761,1211,020
Operating Cash Flow 3,4013,216111,263-3073,1773,5873,2564,5093,2483,2033,3343,9063,4773,0452,2103,1933,5932,2131,1283,3072,3272,9741,4092,1131,4622,1342,1972,1312,050
Investing Activities:
Investments In Property Plant And Equipment -5,448-5,778-5,505-5,484-4,877-4,509-3,828-3,734-4,225-3,906-3,599-4,149-4,808-4,543-3,282-2,824-2,826-2,536-1,868-1,733-1,288-1,590-933-1,488-9,189-963-783-744-1,984-1,137
Acquisitions Net -205,5055,4844,87778-880-15-49-1110-3-4-22-19-33-1810-285000-47000000
Purchases Of Investments -4,417-4,054-3,705-5,730-4,283-4,231-5,042-3,033-3,132-10,123-5,951-2,337-2,940-1,655-2,423-22-9,476-3,661-183-1200001,727000000
Sales Maturities Of Investments 4,5974,1773,9616,0594,3894,3405,2393,2123,50610,0795,6172,1222,8141,4833,652969,9531371403300058000000
Other Investing Activites 3781-5,407-5,300-4,78483120139-2692126-1,0294-95-284-176-2883,0861262,745-2872611,634-915-921-98-454-476-161-256
Investing Cash Flow -5,233-5,574-5,151-4,971-4,678-4,239-3,599-3,416-3,892-3,907-3,808-5,283-4,933-4,814-2,359-2,945-2,670-2,992-1,775640-1,575-1,329701-665-10,110-1,061-1,237-1,220-2,145-1,393
Financing Activities:
Debt Repayment -2,677-2,945-4,418-1,997-3,618-654-950-184-762-607-1,170-6-153-396-1,263-3,768-68-263-992-1,1380000000-262-4900
Common Stock Issued 562132,0099122,449266772941,167001,2410003086262676480010400004146388
Common Stock Repurchased -28900-30800-475-125-3250-400-75000-66-215-169-330-111-6-100-164-511-92-788-1,273-344-1450
Dividends Paid -1,220-1,149-1,023-928-810-788-707-626-544-463-440-424-417-411-404-397-378-514-500-407-42-370-371-373-374-408-440-447-549
Other Financing Activities -106,9622,0502,6582,0951,524764537-1241,715-149-861,6771,860-1,2627,411-302-15-88350-1,958-2,464-1,4971,6398,386-5621,794451,006-83
Financing Cash Flow 1,4472,8815,4453,7274,903821,00795-5886455816501,1071,053-2,9293,210-877-699-1,234-1,258-2,006-2,601-1,5577577,921-1,724113-587-13-544
Other Information:
Effect Of Forex Changes On Cash 170000000000000000020423-37-36000000
Net Change In Cash -38552330519-82-980995-6529-14-24-1,29980-284-2,2432,475-354-98-794510-270-1,5802,0811,465-76-1,3231,010390-27113
Cash At End Of Period 53291739489701521,091961611321461701,4691,3891,6733,9161,4411,7951,8952,6892,1982,4744,0541,9735085841,907897507534