Public Service Enterprise Group Inc financials at a glance

Year Year 2020 2021 2022 2023 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2024
Rev. Revenue
$9.60B $9.72B $9.80B $11.24B $10.61B $11.85B $11.74B $12.68B $12.61B $12.04B $11.79B $11.08B $9.78B $9.97B $10.89B $10.42B $8.97B $9.09B $9.70B $10.08B $0.00M
GM % Gross Margin %
35.74% 30.96% 26.57% 42.96% 24.87% 23.27% 24.98% 29.65% 26.93% 33.80% 34.16% 34.76% 34.87% 35.56% 35.37% 38.61% 35.57% 37.55% 35.09% 35.82% 0.00%
OM Operating Margin
24.95% 21.83% 19.18% 30.92% 17.13% 16.05% 16.96% 22.45% 19.70% 25.89% 24.90% 24.75% 23.10% 23.06% 24.10% 26.95% 25.23% 26.31% 23.93% 25.19% 0.00%
EPS Earnings Per Share
$1.74 $1.86 $2.71 $2.92 $3.12 $3.12 $2.74 $2.44 $2.58 $2.76 $2.91 $2.90 $2.93 $3.12 $3.28 $3.43 $3.65 $3.47 $3.48 $0.00
Div. Dividends
$1.96 $2.04 $2.16 $2.28 $1.12 $1.12 $1.14 $1.17 $1.29 $1.33 $1.37 $1.37 $1.42 $1.44 $1.48 $1.56 $1.64 $1.72 $1.80 $1.88 $0.00
PR % Payout Ratio %
57.14% 55.89% 62.25% 65.52% 70.89% 64.37% 61.29% 43.17% 44.18% 42.63% 43.91% 50.00% 58.20% 55.81% 53.62% 53.61% 56.55% 58.70% 57.69% 57.32% 0
Sha. Shares
505.63m 505.09m 498.95m 0m 475.58m 478.59m 504.41m 508.63m 506.1m 505.98m 505.93m 505.91m 505.92m 505.86m 506.04m 505.96m 505.9m 506.04m 505.45m 505.73m 498.08m
OCF Operating Cash Flow
$3.10B $1.74B $1.50B $3.81B $1.61B $949.00M $1.93B $1.92B $2.35B $1.86B $2.16B $3.56B $2.79B $3.16B $3.16B $3.92B $3.31B $3.26B $2.91B $3.38B $0.00M
FCF Free Cash Flow
$426.00M $-508.00M $-1385.00M $-410.50M $358.00M $-75.00M $911.00M $573.00M $574.00M $61.00M $4.00M $1.47B $213.00M $347.00M $340.00M $-23.00M $-888.00M $-995.00M $-999.00M $234.00M $0.00M
FCFS Free Cash Flow Per Share
$0.13 $-1.95 $-2.78 $0.97 $0.76 $-0.22 $1.81 $1.13 $1.13 $0.12 $0.01 $2.91 $0.42 $0.69 $0.47 $-0.10 $-1.95 $-2.07 $-2.27 $0.23 $0.00