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PPL Corporation (PPL) Cash From Financing

Annual CFF:

$435.00M-$215.00M(-33.08%)
December 31, 2024

Summary

  • As of today, PPL annual cash from financing is $435.00 million, with the most recent change of -$215.00 million (-33.08%) on December 31, 2024.
  • During the last 3 years, PPL annual cash from financing has risen by +$7.83 billion (+105.89%).
  • PPL annual cash from financing is now -93.10% below its all-time high of $6.31 billion, reached on December 31, 2010.

Performance

PPL Cash From Financing Chart

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Quarterly CFF:

$982.00M+$676.00M(+220.92%)
September 30, 2025

Summary

  • As of today, PPL quarterly cash from financing is $982.00 million, with the most recent change of +$676.00 million (+220.92%) on September 30, 2025.
  • Over the past year, PPL quarterly cash from financing has increased by +$821.00 million (+509.94%).
  • PPL quarterly cash from financing is now -83.17% below its all-time high of $5.83 billion, reached on June 30, 2011.

Performance

PPL Quarterly Cash From Financing Chart

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TTM CFF:

$1.68B+$821.00M(+95.80%)
September 30, 2025

Summary

  • As of today, PPL TTM cash from financing is $1.68 billion, with the most recent change of +$821.00 million (+95.80%) on September 30, 2025.
  • Over the past year, PPL TTM cash from financing has increased by +$800.00 million (+91.12%).
  • PPL TTM cash from financing is now -81.20% below its all-time high of $8.93 billion, reached on September 30, 2011.

Performance

PPL TTM Cash From Financing Chart

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Cash From Financing Formula

CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities

PPL Cash From Financing Trends

PeriodPeriodAnnualAnnualQuarterlyQuarterlyTTMTTM
1Y1 Year-33.1%+509.9%+91.1%
3Y3 Years+105.9%+1683.9%+395.9%
5Y5 Years-48.0%+237.9%+231.6%

PPL Cash From Financing Highs & Lows

PeriodPeriodAnnual vs HighAnnual vs HighAnnual vs LowAnnual vs LowQuarter. vs HighQuarter. vs HighQuarter. vs LowQuarter. vs LowTTM vs HighTTM vs HighTTM vs LowTTM vs Low
3Y3-Year-38.6%+105.9%at high+822.1%at high+395.9%
5Y5-Year-48.0%+105.9%at high+127.8%at high+122.7%
All-TimeAll-Time-93.1%+105.9%-83.2%+127.8%-81.2%+122.7%

PPL Cash From Financing History

DateAnnualQuarterlyTTM
Sep 2025
-
$982.00M(+220.9%)
$1.68B(+95.8%)
Jun 2025
-
$306.00M(+12.9%)
$857.00M(+87.1%)
Mar 2025
-
$271.00M(+127.7%)
$458.00M(+5.3%)
Dec 2024
$435.00M(-33.1%)
$119.00M(-26.1%)
$435.00M(-50.5%)
Sep 2024
-
$161.00M(+273.1%)
$878.00M(+51.1%)
Jun 2024
-
-$93.00M(-137.5%)
$581.00M(-19.4%)
Mar 2024
-
$248.00M(-55.9%)
$721.00M(+10.9%)
Dec 2023
$650.00M(-8.3%)
$562.00M(+513.2%)
$650.00M(+66.7%)
Sep 2023
-
-$136.00M(-389.4%)
$390.00M(-15.9%)
Jun 2023
-
$47.00M(-73.4%)
$464.00M(+64.0%)
Mar 2023
-
$177.00M(-41.4%)
$283.00M(-60.1%)
Dec 2022
$709.00M(+109.6%)
$302.00M(+587.1%)
$709.00M(+225.0%)
Sep 2022
-
-$62.00M(+53.7%)
-$567.00M(+82.9%)
Jun 2022
-
-$134.00M(-122.2%)
-$3.32B(+50.6%)
Mar 2022
-
$603.00M(+161.9%)
-$6.72B(+9.1%)
Dec 2021
-$7.39B(-2014.5%)
-$974.00M(+65.4%)
-$7.39B(-21.9%)
Sep 2021
-
-$2.81B(+20.3%)
-$6.06B(-53.1%)
Jun 2021
-
-$3.53B(-4873.2%)
-$3.96B(-5381.3%)
Mar 2021
-
-$71.00M(-120.1%)
$75.00M(-80.6%)
Dec 2020
$386.00M(-53.8%)
$353.00M(+149.6%)
$386.00M(-23.7%)
Sep 2020
-
-$712.00M(-241.0%)
$506.00M(-63.4%)
Jun 2020
-
$505.00M(+110.4%)
$1.38B(+48.1%)
Mar 2020
-
$240.00M(-49.3%)
$934.00M(+11.7%)
Dec 2019
$836.00M(+21.2%)
$473.00M(+186.7%)
$836.00M(+92.2%)
Sep 2019
-
$165.00M(+194.6%)
$435.00M(+125.4%)
Jun 2019
-
$56.00M(-60.6%)
$193.00M(-61.5%)
Mar 2019
-
$142.00M(+97.2%)
$501.00M(-27.4%)
Dec 2018
$690.00M(-16.3%)
$72.00M(+193.5%)
$690.00M(-2.0%)
Sep 2018
-
-$77.00M(-121.2%)
$704.00M(-12.9%)
Jun 2018
-
$364.00M(+10.0%)
$808.00M(+47.4%)
Mar 2018
-
$331.00M(+284.9%)
$548.00M(-33.5%)
Dec 2017
$824.00M(+287.7%)
$86.00M(+218.5%)
$824.00M(-3.9%)
Sep 2017
-
$27.00M(-74.0%)
$857.00M(+102.1%)
Jun 2017
-
$104.00M(-82.9%)
$424.00M(+700.0%)
Mar 2017
-
$607.00M(+410.1%)
$53.00M(+112.1%)
Dec 2016
-$439.00M(-745.6%)
$119.00M(+129.3%)
-$439.00M(-43.0%)
Sep 2016
-
-$406.00M(-52.1%)
-$307.00M(-176.6%)
Jun 2016
-
-$267.00M(-332.2%)
$401.00M(+43.2%)
Mar 2016
-
$115.00M(-54.2%)
$280.00M(+311.8%)
Dec 2015
$68.00M(-88.3%)
$251.00M(-16.9%)
$68.00M(+457.9%)
Sep 2015
-
$302.00M(+177.8%)
-$19.00M(+96.7%)
Jun 2015
-
-$388.00M(-300.0%)
-$573.00M(-709.6%)
Mar 2015
-
-$97.00M(-159.1%)
$94.00M(-83.9%)
Dec 2014
$583.00M(-64.3%)
$164.00M(+165.1%)
$583.00M(-46.2%)
Sep 2014
-
-$252.00M(-190.3%)
$1.08B(-31.9%)
Jun 2014
-
$279.00M(-28.8%)
$1.59B(+13.6%)
Mar 2014
-
$392.00M(-41.1%)
$1.40B(-14.0%)
Dec 2013
$1.63B(+3297.9%)
$665.00M(+159.8%)
$1.63B(+30.1%)
Sep 2013
-
$256.00M(+187.6%)
$1.25B(+121.2%)
Jun 2013
-
$89.00M(-85.7%)
$567.00M(-28.5%)
Mar 2013
-
$621.00M(+115.6%)
$793.00M(+1552.1%)
Dec 2012
$48.00M(-99.2%)
$288.00M(+166.8%)
$48.00M(+117.3%)
Sep 2012
-
-$431.00M(-236.8%)
-$277.00M(-349.5%)
Jun 2012
-
$315.00M(+354.0%)
$111.00M(-98.0%)
Mar 2012
-
-$124.00M(-235.1%)
$5.63B(-2.4%)
Dec 2011
$5.77B(-8.6%)
-$37.00M(+14.0%)
$5.77B(-35.4%)
Sep 2011
-
-$43.00M(-100.7%)
$8.93B(+4.3%)
Jun 2011
-
$5.83B(>+9900.0%)
$8.56B(+45.3%)
Mar 2011
-
$13.00M(-99.6%)
$5.89B(-6.6%)
Dec 2010
$6.31B(+596.2%)
$3.12B(+863.1%)
$6.31B(+112.0%)
Sep 2010
-
-$409.00M(-112.9%)
$2.98B(+7.1%)
Jun 2010
-
$3.17B(+636.0%)
$2.78B(+1410.8%)
Mar 2010
-
$430.00M(+303.8%)
-$212.00M(+83.3%)
Dec 2009
-$1.27B(-276.3%)
-$211.00M(+65.1%)
-$1.27B(-179.3%)
Sep 2009
-
-$605.00M(-447.7%)
-$455.00M(-698.2%)
Jun 2009
-
$174.00M(+127.7%)
-$57.00M(-256.3%)
Mar 2009
-
-$629.00M(-204.0%)
-$16.00M(-102.2%)
Dec 2008
$721.00M
$605.00M(+392.3%)
$721.00M(+275.4%)
Sep 2008
-
-$207.00M(-196.3%)
-$411.00M(+42.3%)
DateAnnualQuarterlyTTM
Jun 2008
-
$215.00M(+99.1%)
-$712.00M(+50.5%)
Mar 2008
-
$108.00M(+120.5%)
-$1.44B(-8.5%)
Dec 2007
-$1.33B(-1495.8%)
-$527.00M(-3.7%)
-$1.33B(-161.0%)
Sep 2007
-
-$508.00M(+0.8%)
-$508.00M(-367.4%)
Jun 2007
-
-$512.00M(-331.7%)
$190.00M(-71.7%)
Mar 2007
-
$221.00M(-24.1%)
$671.00M(+606.3%)
Dec 2006
$95.00M(+114.1%)
$291.00M(+53.2%)
$95.00M(-59.9%)
Sep 2006
-
$190.00M(+712.9%)
$237.00M(+166.2%)
Jun 2006
-
-$31.00M(+91.3%)
-$358.00M(+62.4%)
Mar 2006
-
-$355.00M(-182.0%)
-$953.00M(-41.0%)
Dec 2005
-$676.00M(-17.0%)
$433.00M(+206.9%)
-$676.00M(+51.6%)
Sep 2005
-
-$405.00M(+35.3%)
-$1.40B(-74.0%)
Jun 2005
-
-$626.00M(-702.6%)
-$803.00M(-61.2%)
Mar 2005
-
-$78.00M(+72.9%)
-$498.00M(+13.8%)
Dec 2004
-$578.00M(-49.4%)
-$288.00M(-252.4%)
-$578.00M(-18.4%)
Sep 2004
-
$189.00M(+158.9%)
-$488.00M(+42.2%)
Jun 2004
-
-$321.00M(-103.2%)
-$845.00M(-18.0%)
Mar 2004
-
-$158.00M(+20.2%)
-$716.00M(-85.0%)
Dec 2003
-$387.00M(-6.6%)
-$198.00M(-17.9%)
-$387.00M(+0.5%)
Sep 2003
-
-$168.00M(+12.5%)
-$389.00M(-162.8%)
Jun 2003
-
-$192.00M(-212.3%)
-$148.00M(-236.4%)
Mar 2003
-
$171.00M(+185.5%)
-$44.00M(+87.9%)
Dec 2002
-$363.00M(-236.0%)
-$200.00M(-374.0%)
-$363.00M(-270.4%)
Sep 2002
-
$73.00M(+183.0%)
-$98.00M(-127.5%)
Jun 2002
-
-$88.00M(+40.5%)
$356.00M(+54.1%)
Mar 2002
-
-$148.00M(-327.7%)
$231.00M(-13.5%)
Dec 2001
$267.00M(+14.6%)
$65.00M(-87.7%)
$267.00M(-4.3%)
Sep 2001
-
$527.00M(+347.4%)
$279.00M(+153.1%)
Jun 2001
-
-$213.00M(-90.2%)
-$525.00M(-507.0%)
Mar 2001
-
-$112.00M(-245.5%)
$129.00M(-44.6%)
Dec 2000
$233.00M(-50.7%)
$77.00M(+127.8%)
$233.00M(-57.2%)
Sep 2000
-
-$277.00M(-162.8%)
$544.00M(-29.5%)
Jun 2000
-
$441.00M(+5612.5%)
$772.00M(+35.0%)
Mar 2000
-
-$8.00M(-102.1%)
$572.00M(+20.9%)
Dec 1999
$473.00M(+6857.1%)
$388.00M(+891.8%)
$473.00M(+1082.5%)
Sep 1999
-
-$49.00M(-120.3%)
$40.00M(+100.0%)
Jun 1999
-
$241.00M(+325.2%)
$20.00M(+118.2%)
Mar 1999
-
-$107.00M(-137.8%)
-$110.00M(-1471.4%)
Dec 1998
-$7.00M(+98.7%)
-$45.00M(+34.8%)
-$7.00M(+91.1%)
Sep 1998
-
-$69.00M(-162.2%)
-$79.00M(+13.2%)
Jun 1998
-
$111.00M(+2875.0%)
-$91.00M(+72.8%)
Mar 1998
-
-$4.00M(+96.6%)
-$334.00M(+37.8%)
Dec 1997
-$537.00M(-91.8%)
-$117.00M(-44.4%)
-$537.00M(+5.6%)
Sep 1997
-
-$81.00M(+38.6%)
-$569.00M(+4.0%)
Jun 1997
-
-$132.00M(+36.2%)
-$593.00M(-70.9%)
Mar 1997
-
-$207.00M(-38.9%)
-$347.00M(-23.9%)
Dec 1996
-$280.00M(+24.1%)
-$149.00M(-41.9%)
-$280.00M(-14.5%)
Sep 1996
-
-$105.00M(-192.1%)
-$244.50M(+21.3%)
Jun 1996
-
$114.00M(+181.4%)
-$310.60M(+21.9%)
Mar 1996
-
-$140.00M(-23.3%)
-$397.70M(-7.8%)
Dec 1995
-$368.98M(-73.9%)
-$113.50M(+33.7%)
-$369.00M(-44.4%)
Sep 1995
-
-$171.10M(-736.1%)
-$255.50M(-202.7%)
Jun 1995
-
$26.90M(+124.2%)
-$84.40M(+24.2%)
Mar 1995
-
-$111.30M(-256.3%)
-$111.30M(-256.3%)
Dec 1994
-$212.22M(+40.8%)
-
-
Mar 1994
-
$71.20M
$71.20M
Dec 1993
-$358.29M(+3.1%)
-
-
Dec 1992
-$369.57M(+6.9%)
-
-
Dec 1991
-$396.77M(+2.2%)
-
-
Dec 1990
-$405.65M(+15.2%)
-
-
Dec 1989
-$478.63M(-5.7%)
-
-
Dec 1988
-$452.92M(-6.6%)
-
-
Dec 1987
-$424.90M(-32.1%)
-
-
Dec 1986
-$321.59M(+5.3%)
-
-
Dec 1985
-$339.65M(-1443.3%)
-
-
Dec 1984
-$22.01M(-222.0%)
-
-
Dec 1983
$18.04M(-88.4%)
-
-
Dec 1982
$156.01M(-65.1%)
-
-
Dec 1981
$446.48M(+43.7%)
-
-
Dec 1980
$310.69M
-
-

FAQ

  • What is PPL Corporation annual cash from financing?
  • What is the all-time high annual cash from financing for PPL Corporation?
  • What is PPL Corporation annual cash from financing year-on-year change?
  • What is PPL Corporation quarterly cash from financing?
  • What is the all-time high quarterly cash from financing for PPL Corporation?
  • What is PPL Corporation quarterly cash from financing year-on-year change?
  • What is PPL Corporation TTM cash from financing?
  • What is the all-time high TTM cash from financing for PPL Corporation?
  • What is PPL Corporation TTM cash from financing year-on-year change?

What is PPL Corporation annual cash from financing?

The current annual cash from financing of PPL is $435.00M

What is the all-time high annual cash from financing for PPL Corporation?

PPL Corporation all-time high annual cash from financing is $6.31B

What is PPL Corporation annual cash from financing year-on-year change?

Over the past year, PPL annual cash from financing has changed by -$215.00M (-33.08%)

What is PPL Corporation quarterly cash from financing?

The current quarterly cash from financing of PPL is $982.00M

What is the all-time high quarterly cash from financing for PPL Corporation?

PPL Corporation all-time high quarterly cash from financing is $5.83B

What is PPL Corporation quarterly cash from financing year-on-year change?

Over the past year, PPL quarterly cash from financing has changed by +$821.00M (+509.94%)

What is PPL Corporation TTM cash from financing?

The current TTM cash from financing of PPL is $1.68B

What is the all-time high TTM cash from financing for PPL Corporation?

PPL Corporation all-time high TTM cash from financing is $8.93B

What is PPL Corporation TTM cash from financing year-on-year change?

Over the past year, PPL TTM cash from financing has changed by +$800.00M (+91.12%)
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