PP

PannErgy Plc (PPL)

FSX

Currency in EUR
8.26
+0.34 (+4.29%)

Closed

Aug 25, 2026

Day's Range

8.26
8.26

52 wk Range

3.80
8.40

Financial Statements - PPL - PannErgy Plc

Revenue

8.74B 7.5%

Net Income

1.70B 21.5%Net Margin 19.5%

EBITDA

4.33B 15.2%

Free Cash Flow

2.46B 637.5%

Income Statement

Period Ending2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-31
Sales8.74B8.14B9.66B7.14B6.43B5.92B
Cost of Goods6.16B6.13B6.62B5.04B4.85B4.47B
Gross Profit2.58B2B3.04B2.09B1.58B1.44B
ExpandOperating Expense
------
Operating Income1.83B1.71B2.06B1.45B1.17B1.07B
ExpandNon-Operating Interest
------
Other Income Expense------
Pre Tax Income1.72B1.48B1.83B1.41B964M262M
Income Tax18M82M121M106M67M25M
Net Income1.70B1.40B1.71B1.31B897M237M
EPS Basic12193112825514.01
EPS Diluted12193112825514.01
Basic Shares Outstanding13.40M15.08M15.29M15.95M6.64B6.83B
Diluted Shares Outstanding13.40M15.08M15.29M15.95M6.64B6.83B
Ebit2.14B1.89B2.23B1.72B1.25B547M
Ebitda4.33B3.76B4.07B3.04B2.78B2.23B
Net Income Continuous Operations1.72B1.48B1.83B1.41B964M262M
Minority Interests00000-1M
Preferred Stock Dividends000000

The information on this page is provided for general informational purposes only and is not investment advice.

Market data provided by Twelve Data. Charting by TradingView.

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