PWR.AXPWR.AXASX
Loading
Revenue (LTM)
$2.5B
+0.3% YoY
Net Income (LTM)
$12M
-66.5% YoY
Free Cash Flow
$58M
Revenue CAGR (5Y)
+12.7%
Marginsstable
|
FCF$0.1B
|
Profitable

Income Statement

MetricJun 21Jun 22Jun 23
Revenue
1,612
1,696
2,060
Gross Profit
122
144
165
Operating Income
80
91
105
Net Income
38
57
56
EBITDA
102
123
140
EPS Diluted
0.23
0.33
0.33

Balance Sheet

MetricJun 21Jun 22Jun 23
Cash & Equivalents
43
52
51
Total Current Assets
332
400
493
Total Assets
847
1,101
1,205
Total Current Liabilities
289
351
434
Total Liabilities
427
622
691
Total Equity
419
479
514
Total Debt
329
492
575
Net Debt
286
439
525

Cash Flow Statement

MetricJun 21Jun 22Jun 23
Operating Cash Flow
57
75
74
Capital Expenditure
-125
-12
-10
Free Cash Flow
-69
63
63
Stock-Based Comp
1
1
1
Net Change in Cash
-32
9
-2
Values in millions except EPS · Ratios shown as percentages · Click any metric to drill down