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Pacific Gas & Electric Co. logo

Pacific Gas & Electric Co.

Sector: Utilities   

Industry: Utilities - Regulated Electric

17.07
 
USD
  
0.07
  
(0.41%)
Optionable: Yes  Market Cap: 48,773 M  90-day average vol: 15,532,926

Previous close: 17.0  Open: 16.98  Bid: 16.96  Ask: 17.08
52 week range    
14.71   
   18.32
Peers   
EIX / 
POR / 
XEL / 
D / 
SRE / 
AVA / 
CMS / 
HE / 
WEC / 
Last updated: Friday 26th April 2024
55
MarketXLS Rank
40
Value
76
Technical
50
Quality

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Financials

PCG Cash Flow

Annual
Dec-13Dec-14Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22
(Increase) Decrease in inventories-30 M-66 M111 M-72 M-54 M-219 M-240 M12 M-32 M-246 M
(Increase) Decrease in other current assets-303 M-300 M-321 M-336 M-267 M-387 M-237 M-280 M-133 M-368 M
(Increase) Decrease in other current liabilities472 M-810 M
(Increase) Decrease in other working capital-1,153 M316 M-1,953 M-350 M473 M-1,308 M904 M-2,470 M-2,015 M-1,114 M
(Increase) Decrease in payables311 M-171 M-59 M538 M519 M1,251 M1,674 M34 M44 M627 M
(Increase) Decrease in receivables-1,573 M1,211 M-412 M-1,486 M614 M-5,492 M-230 M786 M-1,307 M-304 M
AssetImpairmentCharge300 M154 M143 M
CapitalExpenditureReported15,621 M14,499 M15,519 M17,127 M16,923 M19,542 M18,939 M15,380 M7,689 M19,023 M
Cash at beginning of period401 M296 M217 M224 M248 M456 M1,675 M1,577 M404 M307 M
Cash at end of period38 M131 M197 M3,752 M1,272 M3,171 M1,231 M23,677 M165 M734 M
Cash flow10,259 M10,915 M11,274 M16,547 M17,809 M14,160 M14,436 M-14,402 M2,448 M3,721 M
CashFlowFromContinuingInvestingActivities-15,391 M-14,312 M-15,633 M-16,578 M-16,950 M-19,692 M-19,134 M-15,496 M-7,050 M-10,214 M
ChangeInAccountPayable311 M-171 M-59 M538 M519 M1,251 M1,674 M34 M44 M627 M
ChangeInPayablesAndAccruedExpense311 M-171 M-59 M538 M519 M1,251 M1,674 M34 M44 M627 M
ChangeInWorkingCapital-2,748 M990 M-2,634 M-1,706 M1,285 M-6,155 M1,871 M-1,918 M-2,838 M-1,847 M
ChangesInAccountReceivables-121 M-368 M-2,342 M-584 M-757 M
CommonStockDividendPaid-2,214 M-2,260 M-2,288 M-2,743 M-2,589 M-1,275 M
Current deferred income taxes3,281 M2,152 M2,121 M3,114 M3,460 M-7,628 M-8,852 M2,238 M1,846 M-452 M
Deferred income taxes3,281 M2,152 M2,121 M3,114 M3,460 M-7,628 M-8,852 M2,238 M1,846 M-452 M
Depreciation unreconciled3,469 M3,403 M3,856 M
DepreciationAndAmortization3,403 M3,856 M
FinancingCashFlow4,769 M3,232 M4,339 M3,559 M165 M8,247 M4,254 M51,998 M4,379 M7,133 M
Free cash flow10,259 M10,915 M11,274 M16,547 M17,809 M14,160 M14,436 M-14,402 M2,262 M9,686 M
IncomeTaxPaidSupplementalData-165 M1,501 M231 M719 M486 M-167 M99 M
InterestPaidSupplementalData-1,823 M-1,869 M-2,034 M-2,160 M-2,352 M-2,332 M-24 M-3,021 M1,198 M1,607 M
Issuance of capital stock1,045 M802 M780 M822 M395 M200 M1,304 M
Issuance of debt1,766 M-1,109 M1,149 M1,473 M-2,034 M7,523 M12,106 M-1,396 M-300 M
IssuanceOfCapitalStock1,045 M802 M780 M822 M395 M200 M1,304 M
IssuanceOfDebt3,779 M3,154 M4,518 M3,942 M1,770 M8,217 M33,576 M3,141 M-3,207 M
Net cash from financing activities4,769 M3,232 M4,339 M3,559 M165 M8,247 M4,254 M51,998 M4,379 M7,133 M
Net cash from investing activities-15,391 M-14,312 M-15,633 M-16,578 M-16,950 M-19,692 M-19,134 M-15,496 M-7,050 M-10,214 M
Net cash from operating activities10,259 M10,915 M11,274 M16,547 M17,809 M14,160 M14,436 M-14,402 M2,448 M3,721 M
Net change in cash & cash equivalents-363 M-165 M-20 M3,528 M1,024 M2,715 M-444 M22,100 M-223 M640 M
Net income from continuing operations8,185 M6,687 M9,714 M8,832 M12,050 M27,230 M19,133 M-19,317 M138 M1,814 M
NetCommonStockIssuance1,045 M802 M780 M822 M395 M200 M1,304 M
NetInvestmentPropertiesPurchaseAndSale230 M187 M-114 M549 M-27 M-150 M-195 M-116 M-24 M-664 M
NetInvestmentPurchaseAndSale230 M187 M-114 M549 M-27 M-150 M-195 M-116 M-24 M-664 M
NetIssuancePaymentsOfDebt3,779 M3,154 M4,518 M3,942 M1,770 M8,217 M33,576 M3,141 M-3,207 M
NetLongTermDebtIssuance2,013 M4,263 M3,369 M2,469 M3,804 M694 M21,470 M5,415 M7,380 M
NetPPEPurchaseAndSale749 M
Operating (gains) losses1,541 M1,086 M2,073 M2,512 M1,014 M713 M2,284 M503 M248 M649 M
Other financing charges net2,187 M1,564 M1,357 M1,566 M617 M30 M-24 M12,904 M332 M1,170 M
Other investing changes net185 M181 M258 M720 M69 M69 M33 M28 M-86 M34 M
Other non-cash items3,795 M-216 M623 M-255 M207 M
Payment of cash dividends2,242 M2,288 M2,316 M2,771 M2,617 M1,345 M
PreferredStockDividendPaid-28 M-28 M-28 M-28 M-28 M-70 M
ProceedsFromIssuanceOfWarrants312 M
ProceedsFromStockOptionExercised4,278 M4,214 M361 M8,697 M
Purchase of property plant & equipment-7,689 M-9,584 M
Purchase of short term investments4,596 M6,230 M3,369 M2,949 M8,139 M2,379 M22,334 M5,474 M23,149 M
PurchaseOfInvestment-4,812 M-4,002 M-4,176 M-4,056 M-3,969 M-4,455 M-3,096 M-3,180 M-1,702 M-4,230 M
PurchaseOfLongTermInvestments-4,812 M-4,002 M-4,176 M-4,056 M-3,969 M-4,455 M-3,096 M-3,180 M-1,702 M-6,416 M
PurchaseOfPPE-15,621 M-14,499 M-15,519 M-17,127 M-16,923 M-19,542 M-18,939 M-15,380 M-7,689 M-19,023 M
Repayment of debt-2,583 M-1,967 M-480 M-4,335 M-1,685 M-864 M-59 M-15,769 M
RepaymentOfDebt-2,583 M-1,967 M-900 M-480 M-5,835 M-6,010 M-8,762 M-11,513 M-32,009 M
Sale of Float term investments4,857 M4,008 M3,804 M3,885 M3,873 M4,236 M2,868 M3,036 M1,678 M6,632 M
SaleOfInvestment4,857 M4,008 M3,804 M3,885 M3,873 M4,236 M2,868 M3,036 M1,678 M3,566 M
SaleOfPPE749 M
ShortTermDebtIssuance1,766 M-1,109 M2,049 M1,473 M-534 M11,848 M20,004 M10,030 M20,260 M
ShortTermDebtPayments-260 M-900 M-1,500 M-4,325 M-7,898 M-11,426 M-300 M
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