annual CFF:
$435.00M-$215.00M(-33.08%)Summary
- As of today (June 7, 2025), PPL annual cash flow from financing activities 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 CFF has risen by +$7.83 billion (+105.89%).
- PPL annual CFF 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:
$271.00M+$152.00M(+127.73%)Summary
- As of today (June 7, 2025), PPL quarterly cash flow from financing activities is $271.00 million, with the most recent change of +$152.00 million (+127.73%) on March 31, 2025.
- Over the past year, PPL quarterly CFF has increased by +$23.00 million (+9.27%).
- PPL quarterly CFF is now -95.35% below its all-time high of $5.83 billion, reached on June 30, 2011.
Performance
PPL quarterly CFF Chart
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TTM CFF:
$458.00M+$23.00M(+5.29%)Summary
- As of today (June 7, 2025), PPL TTM cash flow from financing activities is $458.00 million, with the most recent change of +$23.00 million (+5.29%) on March 31, 2025.
- Over the past year, PPL TTM CFF has dropped by -$263.00 million (-36.48%).
- PPL TTM CFF is now -94.87% below its all-time high of $8.93 billion, reached on September 30, 2011.
Performance
PPL TTM CFF 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
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1 y1 year | -33.1% | +9.3% | -36.5% |
3 y3 years | +105.9% | -55.1% | +106.8% |
5 y5 years | -48.0% | +12.9% | -51.0% |
PPL Cash from financing Highs & Lows
PeriodPeriod | Annual vs highAnnual vs high | Annual vs lowAnnual vs low | Quarter. vs highQuarter. vs high | Quarter. vs lowQuarter. vs low | TTM vs highTTM vs high | TTM vs lowTTM vs low | |
---|---|---|---|---|---|---|---|
3 y | 3-year | -38.6% | +105.9% | -55.1% | +299.3% | -47.8% | +106.8% |
5 y | 5-year | -48.0% | +105.9% | -55.1% | +107.7% | -66.9% | +106.2% |
alltime | all time | -93.1% | +105.9% | -95.3% | +107.7% | -94.9% | +106.2% |
PPL Cash from financing History
Date | Annual | Quarterly | TTM |
---|---|---|---|
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%) |
Date | Annual | Quarterly | TTM |
---|---|---|---|
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(-154.4%) | $605.00M(-392.3%) | $721.00M(-275.4%) |
Sep 2008 | - | -$207.00M(-196.3%) | -$411.00M(-42.3%) |
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(+112.2%) |
Sep 2007 | - | -$508.00M(-0.8%) | -$625.00M(-428.9%) |
Jun 2007 | - | -$512.00M(-331.7%) | $190.00M(-71.7%) |
Mar 2007 | - | $221.00M(+27.0%) | $671.00M(+606.3%) |
Dec 2006 | $95.00M(-114.1%) | $174.00M(-43.3%) | $95.00M(-73.2%) |
Sep 2006 | - | $307.00M(-1090.3%) | $354.00M(-198.9%) |
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(+31.2%) |
Jun 2005 | - | -$626.00M(+702.6%) | -$1.06B(+113.9%) |
Mar 2005 | - | -$78.00M(-72.9%) | -$498.00M(-13.8%) |
Dec 2004 | -$578.00M(+49.4%) | -$288.00M(+294.5%) | -$578.00M(+18.4%) |
Sep 2004 | - | -$73.00M(+23.7%) | -$488.00M(-16.3%) |
Jun 2004 | - | -$59.00M(-62.7%) | -$583.00M(-18.6%) |
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(+30.3%) |
Sep 1999 | - | -$49.00M(-120.3%) | $363.00M(+1715.0%) |
Jun 1999 | - | $241.00M(-325.2%) | $20.00M(-109.0%) |
Mar 1999 | - | -$107.00M(-138.5%) | -$221.00M(+3057.1%) |
Dec 1998 | -$7.00M(-98.7%) | $278.00M(-170.9%) | -$7.00M(-98.3%) |
Sep 1998 | - | -$392.00M(<-9900.0%) | -$402.00M(+341.8%) |
Jun 1998 | - | $0.00(-100.0%) | -$91.00M(-59.2%) |
Mar 1998 | - | $107.00M(-191.5%) | -$223.00M(-58.5%) |
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 | -$369.00M | -$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%) |
Mar 1994 | - | $71.20M | $71.20M |
FAQ
- What is PPL annual cash flow from financing activities?
- What is the all time high annual CFF for PPL?
- What is PPL annual CFF year-on-year change?
- What is PPL quarterly cash flow from financing activities?
- What is the all time high quarterly CFF for PPL?
- What is PPL quarterly CFF year-on-year change?
- What is PPL TTM cash flow from financing activities?
- What is the all time high TTM CFF for PPL?
- What is PPL TTM CFF year-on-year change?
What is PPL annual cash flow from financing activities?
The current annual CFF of PPL is $435.00M
What is the all time high annual CFF for PPL?
PPL all-time high annual cash flow from financing activities is $6.31B
What is PPL annual CFF year-on-year change?
Over the past year, PPL annual cash flow from financing activities has changed by -$215.00M (-33.08%)
What is PPL quarterly cash flow from financing activities?
The current quarterly CFF of PPL is $271.00M
What is the all time high quarterly CFF for PPL?
PPL all-time high quarterly cash flow from financing activities is $5.83B
What is PPL quarterly CFF year-on-year change?
Over the past year, PPL quarterly cash flow from financing activities has changed by +$23.00M (+9.27%)
What is PPL TTM cash flow from financing activities?
The current TTM CFF of PPL is $458.00M
What is the all time high TTM CFF for PPL?
PPL all-time high TTM cash flow from financing activities is $8.93B
What is PPL TTM CFF year-on-year change?
Over the past year, PPL TTM cash flow from financing activities has changed by -$263.00M (-36.48%)