P

Public Power Corporation SA
ATHEX:PPC

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Public Power Corporation SA
ATHEX:PPC
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Price: 17.86 EUR -3.25% Market Closed
Market Cap: €6.6B

Balance Sheet

Balance Sheet Decomposition
Public Power Corporation SA

Balance Sheet
Public Power Corporation SA

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Balance Sheet
Currency: EUR
Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Cash & Cash Equivalents
28
27
28
31
29
197
103
480
620
365
280
260
435
452
207
252
251
287
816
2 832
3 159
2 600
1 999
2 077
Cash
0
0
0
31
29
0
0
0
20
69
71
82
99
103
120
134
176
120
562
2 651
1 104
992
1 076
994
Cash Equivalents
28
27
28
0
0
197
103
480
600
296
209
178
335
348
87
117
75
167
253
181
2 055
1 608
923
1 083
Short-Term Investments
13
20
28
47
67
5
0
0
0
155
142
0
0
0
0
0
0
0
0
0
0
0
0
0
Total Receivables
640
676
729
802
952
942
1 155
1 183
1 198
1 350
1 726
1 580
2 088
2 113
1 511
2 415
1 523
1 481
1 478
3 008
3 572
4 873
4 781
4 508
Accounts Receivables
561
597
660
695
791
783
865
1 006
1 023
980
1 321
1 306
1 773
1 844
1 295
1 326
1 220
1 108
1 081
1 761
2 234
2 446
2 366
2 410
Other Receivables
79
79
69
107
161
159
290
177
175
370
405
274
316
268
216
1 089
303
373
396
1 247
1 338
2 428
2 415
2 098
Inventory
558
538
583
558
603
709
763
808
850
848
855
785
738
747
660
731
766
731
630
610
840
1 047
1 290
1 353
Other Current Assets
76
18
8
21
19
22
29
24
25
60
39
191
198
190
2 333
205
82
68
64
143
88
179
385
388
Total Current Assets
1 315
1 279
1 376
1 460
1 669
1 875
2 050
2 495
2 693
2 776
3 042
2 816
3 458
3 502
4 711
3 603
2 622
2 567
2 987
6 593
7 661
8 699
8 455
8 327
PP&E Net
8 988
9 036
9 717
11 175
11 225
11 433
11 854
13 142
13 354
13 703
12 904
12 932
13 690
13 590
11 937
11 561
11 031
10 640
10 334
10 400
10 726
13 507
16 473
17 801
PP&E Gross
8 988
9 036
9 717
11 175
11 225
11 433
11 854
13 142
13 354
13 703
12 904
12 932
13 690
13 590
11 937
11 561
11 031
10 640
10 334
10 400
10 726
13 507
16 473
17 801
Accumulated Depreciation
1 928
2 072
2 203
784
1 380
1 999
2 568
383
1 113
1 830
2 549
3 244
662
1 478
2 217
2 931
3 610
5 425
1 475
1 408
1 755
2 364
641
1 574
Intangible Assets
2
11
8
16
26
21
6
79
89
93
54
22
70
79
58
77
201
81
112
360
614
1 113
957
1 029
Goodwill
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
26
184
269
Note Receivable
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
9
117
126
104
Long-Term Investments
29
18
17
5
13
108
36
49
40
22
25
27
24
24
22
22
21
38
35
39
60
65
155
128
Other Long-Term Assets
150
159
97
7
5
4
9
18
24
51
34
23
131
120
105
95
215
247
216
386
457
331
900
804
Other Assets
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
26
184
269
Total Assets
10 485
N/A
10 502
+0%
11 216
+7%
12 663
+13%
12 938
+2%
13 440
+4%
13 954
+4%
15 784
+13%
16 200
+3%
16 645
+3%
16 059
-4%
15 820
-1%
17 373
+10%
17 315
0%
16 832
-3%
15 358
-9%
14 089
-8%
13 573
-4%
13 685
+1%
17 779
+30%
19 527
+10%
23 857
+22%
27 250
+14%
28 461
+4%
Liabilities
Accounts Payable
582
693
794
228
244
903
930
924
450
561
1 687
1 698
0
733
784
684
621
687
569
323
559
1 117
1 527
1 410
Accrued Liabilities
109
75
105
106
199
184
272
179
276
324
259
309
29
193
188
181
169
150
878
1 768
2 070
2 311
1 679
1 651
Short-Term Debt
103
57
187
144
118
197
359
214
250
234
302
97
97
127
30
30
46
19
42
271
108
241
224
190
Current Portion of Long-Term Debt
750
767
397
492
1 033
1 027
1 491
1 499
717
1 429
1 501
1 840
582
714
631
500
715
436
565
371
628
1 224
757
625
Other Current Liabilities
281
189
150
589
696
0
0
149
509
806
133
53
345
1 527
2 383
1 982
1 994
2 079
1 437
1 988
2 202
3 034
3 803
3 851
Total Current Liabilities
1 824
1 781
1 632
1 559
2 290
2 311
3 052
2 965
2 202
3 354
3 881
3 997
2 725
3 293
4 016
3 379
3 545
3 370
3 491
4 722
5 567
7 926
7 989
7 727
Long-Term Debt
3 378
3 116
3 107
3 197
2 696
2 770
2 822
2 858
3 886
3 566
3 303
3 014
4 851
4 491
3 951
3 739
3 191
3 560
3 529
4 182
3 966
4 595
6 505
8 133
Deferred Income Tax
27
43
0
0
282
323
152
489
449
405
212
519
795
717
343
143
0
0
0
0
0
0
635
641
Minority Interest
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
606
813
994
983
Other Liabilities
1 969
2 079
2 251
2 697
2 592
2 756
2 948
3 012
2 894
2 819
2 809
2 885
2 867
2 902
2 663
2 488
3 411
3 601
3 579
3 796
5 315
5 972
6 080
5 820
Total Liabilities
7 197
N/A
7 019
-2%
6 991
0%
7 454
+7%
7 860
+5%
8 161
+4%
8 973
+10%
9 323
+4%
9 431
+1%
10 144
+8%
10 205
+1%
10 416
+2%
11 239
+8%
11 403
+1%
10 973
-4%
9 748
-11%
10 146
+4%
10 532
+4%
10 598
+1%
12 701
+20%
15 453
+22%
19 307
+25%
22 203
+15%
23 304
+5%
Equity
Common Stock
1 067
1 067
1 067
1 067
1 067
1 067
1 067
1 067
1 067
1 067
1 067
1 067
1 067
1 067
1 067
575
575
575
575
947
947
947
916
916
Retained Earnings
304
493
611
551
430
616
287
990
1 332
1 081
1 136
957
1 158
1 052
969
1 863
299
1 500
1 422
1 410
733
268
193
9
Additional Paid In Capital
107
107
107
107
107
107
107
107
107
107
107
107
107
107
107
107
107
107
107
1 019
1 019
1 019
1 019
1 019
Unrealized Security Profit/Loss
1 600
1 596
2 198
3 228
3 228
3 228
3 309
4 079
4 066
4 037
3 337
3 239
3 886
3 804
3 801
3 099
2 869
3 806
3 739
4 216
4 203
4 187
4 841
4 831
Treasury Stock
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
41
144
218
252
Other Equity
208
221
242
256
246
262
212
219
198
208
208
33
83
119
84
34
94
52
88
307
1 321
1 190
1 318
1 347
Total Equity
3 287
N/A
3 484
+6%
4 225
+21%
5 209
+23%
5 078
-3%
5 280
+4%
4 981
-6%
6 461
+30%
6 770
+5%
6 500
-4%
5 854
-10%
5 404
-8%
6 135
+14%
5 911
-4%
5 860
-1%
5 610
-4%
3 943
-30%
3 040
-23%
3 087
+2%
5 079
+65%
4 074
-20%
4 551
+12%
5 046
+11%
5 157
+2%
Total Liabilities & Equity
10 485
N/A
10 502
+0%
11 216
+7%
12 663
+13%
12 938
+2%
13 440
+4%
13 954
+4%
15 784
+13%
16 200
+3%
16 645
+3%
16 059
-4%
15 820
-1%
17 373
+10%
17 315
0%
16 832
-3%
15 358
-9%
14 089
-8%
13 573
-4%
13 685
+1%
17 779
+30%
19 527
+10%
23 857
+22%
27 250
+14%
28 461
+4%
Shares Outstanding
Common Shares Outstanding
232
232
232
232
232
232
232
232
232
232
232
232
232
232
232
232
232
232
232
382
375
364
350
349
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