Public Service Enterprise Group Inc
SWB:PSE

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Public Service Enterprise Group Inc
SWB:PSE
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Price: 68 EUR 0.74%
Market Cap: €33.9B

Balance Sheet

Balance Sheet Decomposition
Public Service Enterprise Group Inc

Balance Sheet
Public Service Enterprise Group Inc

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Balance Sheet
Currency: USD
Dec-2001 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
Assets
Cash & Cash Equivalents
167
171
452
263
288
106
380
321
350
280
834
379
493
402
394
423
313
177
147
543
818
465
54
125
Cash Equivalents
167
171
452
263
288
106
380
321
350
280
834
379
493
402
394
423
313
177
147
543
818
465
54
125
Total Receivables
992
1 404
1 551
1 590
1 936
1 257
1 537
1 398
1 224
2 076
983
1 296
1 312
1 465
1 373
1 239
1 475
1 677
1 334
1 473
1 868
2 023
1 492
1 991
Accounts Receivables
992
1 404
1 551
1 590
1 936
1 257
1 537
1 398
1 224
1 387
967
1 069
1 203
1 254
1 068
1 161
1 348
1 435
1 313
1 410
1 859
1 944
1 482
1 597
Other Receivables
0
0
0
0
0
0
0
0
0
689
16
227
109
211
305
78
127
242
21
63
9
79
10
394
Inventory
681
616
754
872
1 081
1 123
1 084
1 255
1 141
1 025
1 052
1 005
1 024
1 022
976
887
866
902
897
878
744
960
1 023
1 124
Other Current Assets
1 449
1 098
908
1 901
2 191
2 291
1 973
1 025
1 575
1 670
1 042
1 189
785
1 230
751
705
658
751
853
736
2 820
855
804
995
Total Current Assets
3 289
3 289
3 665
4 626
5 496
4 777
4 974
3 999
4 290
5 051
3 911
3 869
3 614
4 119
3 494
3 254
3 312
3 507
3 231
3 630
6 250
4 303
3 373
4 235
PP&E Net
9 911
11 640
12 415
12 858
12 676
12 418
13 196
14 433
14 886
16 390
17 849
19 736
21 645
23 589
26 539
29 286
31 797
34 363
36 126
37 847
34 567
36 118
38 210
40 226
PP&E Gross
9 911
11 640
12 415
12 858
12 676
12 418
13 196
14 433
14 886
16 390
17 849
19 736
21 645
23 589
26 539
29 286
31 797
34 363
36 126
37 847
34 567
36 118
38 210
40 226
Accumulated Depreciation
4 789
4 734
4 981
5 335
5 533
5 676
5 994
6 385
6 530
6 882
7 231
7 666
8 068
8 607
8 955
10 051
9 434
9 838
10 100
10 984
9 318
9 982
10 572
11 143
Intangible Assets
63
206
0
0
46
0
0
53
123
136
131
34
33
84
102
98
114
143
149
158
20
14
0
0
Goodwill
569
446
625
622
554
62
51
16
16
16
16
16
16
16
16
16
16
16
0
0
0
0
0
0
Note Receivable
0
0
0
0
0
0
0
0
0
0
0
0
0
644
666
693
686
624
963
945
875
556
632
558
Long-Term Investments
4 768
4 468
4 810
4 189
4 077
3 868
3 221
2 695
2 032
1 623
1 303
1 324
1 313
1 307
1 233
1 050
932
896
812
536
541
624
295
263
Other Long-Term Assets
6 556
6 086
6 569
6 965
6 972
7 427
6 857
7 853
7 331
6 693
6 611
6 746
5 901
5 574
5 485
5 673
5 859
5 777
6 449
6 934
6 746
7 103
8 231
9 358
Other Assets
569
446
625
622
554
62
51
16
16
16
16
16
16
16
16
16
16
16
0
0
0
0
0
0
Total Assets
25 156
N/A
26 135
+4%
28 084
+7%
29 260
+4%
29 821
+2%
28 552
-4%
28 299
-1%
29 049
+3%
28 678
-1%
29 909
+4%
29 821
0%
31 725
+6%
32 522
+3%
35 333
+9%
37 535
+6%
40 070
+7%
42 716
+7%
45 326
+6%
47 730
+5%
50 050
+5%
48 999
-2%
48 718
-1%
50 741
+4%
54 640
+8%
Liabilities
Accounts Payable
871
1 137
1 202
1 349
1 154
916
1 080
1 227
1 075
1 176
1 184
1 304
1 222
1 178
1 369
1 459
1 694
1 451
1 358
1 332
1 315
1 271
1 214
1 136
Accrued Liabilities
243
229
198
209
293
269
317
107
191
157
127
108
132
116
138
128
151
136
190
284
221
174
205
258
Short-Term Debt
1 337
760
301
638
100
381
65
19
530
64
0
263
60
0
364
388
542
1 016
1 115
1 063
3 519
2 200
949
1 593
Current Portion of Long-Term Debt
1 186
730
726
376
1 536
836
1 123
1 033
521
1 121
633
1 252
781
883
734
500
1 000
1 294
1 365
1 684
700
1 575
1 500
2 150
Other Current Liabilities
909
1 171
949
1 317
1 672
1 314
1 690
1 024
1 043
967
1 013
850
868
1 301
970
801
781
1 038
1 019
1 159
1 317
1 460
1 189
1 368
Total Current Liabilities
4 546
4 027
3 376
3 889
4 755
3 716
4 275
3 410
3 360
3 485
2 957
3 777
3 063
3 478
3 575
3 276
4 168
4 935
5 047
5 522
7 072
6 680
5 057
6 505
Long-Term Debt
10 872
12 238
12 945
12 613
11 278
10 100
8 658
8 005
7 645
7 819
7 461
6 687
7 862
8 261
8 834
10 895
12 068
13 168
13 743
14 496
15 219
16 495
17 784
18 964
Deferred Income Tax
3 205
2 903
4 216
4 357
4 248
4 440
4 449
3 865
4 045
5 129
5 458
6 542
7 107
7 303
8 166
8 658
5 240
5 713
6 256
6 502
5 759
5 725
6 671
7 248
Minority Interest
0
0
0
0
0
0
0
11
10
8
2
1
1
1
1
0
0
0
0
0
0
0
0
0
Other Liabilities
2 316
3 002
1 938
2 577
3 437
3 469
3 538
5 907
4 750
3 835
3 673
3 938
2 881
4 105
3 893
4 111
7 393
7 133
7 595
7 546
6 511
6 089
5 752
5 809
Total Liabilities
20 939
N/A
22 170
+6%
22 475
+1%
23 436
+4%
23 718
+1%
21 725
-8%
20 920
-4%
21 198
+1%
19 810
-7%
20 276
+2%
19 551
-4%
20 945
+7%
20 914
0%
23 148
+11%
24 469
+6%
26 940
+10%
28 869
+7%
30 949
+7%
32 641
+5%
34 066
+4%
34 561
+1%
34 989
+1%
35 264
+1%
38 526
+9%
Equity
Common Stock
3 679
4 131
4 570
4 649
4 698
4 741
4 812
4 836
4 868
4 807
4 823
4 833
4 861
4 876
4 915
4 936
4 961
4 980
5 003
5 031
5 045
5 065
5 018
5 057
Retained Earnings
1 809
1 554
2 221
2 425
2 545
2 710
3 261
3 773
4 704
5 575
6 385
6 942
7 457
8 227
9 117
9 174
9 878
10 582
11 406
12 318
10 639
10 591
12 017
12 593
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
177
16
25
50
11
121
80
93
Treasury Stock
981
981
981
978
532
516
478
581
588
593
601
607
615
635
671
717
763
808
831
861
896
1 377
1 379
1 403
Other Equity
290
739
201
272
609
108
216
177
116
156
337
388
95
283
295
263
406
361
514
554
361
429
99
40
Total Equity
4 217
N/A
3 965
-6%
5 609
+41%
5 824
+4%
6 102
+5%
6 827
+12%
7 379
+8%
7 851
+6%
8 868
+13%
9 633
+9%
10 270
+7%
10 780
+5%
11 608
+8%
12 185
+5%
13 066
+7%
13 130
+0%
13 847
+5%
14 377
+4%
15 089
+5%
15 984
+6%
14 438
-10%
13 729
-5%
15 477
+13%
16 114
+4%
Total Liabilities & Equity
25 156
N/A
26 135
+4%
28 084
+7%
29 260
+4%
29 820
+2%
28 552
-4%
28 299
-1%
29 049
+3%
28 678
-1%
29 909
+4%
29 821
0%
31 725
+6%
32 522
+3%
35 333
+9%
37 535
+6%
40 070
+7%
42 716
+7%
45 326
+6%
47 730
+5%
50 050
+5%
48 999
-2%
48 718
-1%
50 741
+4%
54 640
+8%
Shares Outstanding
Common Shares Outstanding
412
460
472
476
502
505
509
506
506
506
506
506
506
506
506
505
505
504
504
504
504
497
498
498
Preferred Shares Outstanding
22
29
1
8
1
1
1
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0