Morningstar® Stock Report™

PG&E Corp PCG

Flujo de Caja
20192020202120222023
Operating Cash Flow Growth-YOY1.350.000.0052.0027.57
Free Cash Flow Growth-YOY-----
Cap Ex as a % of Sales-36.86%-41.64%-37.25%-44.21%-39.77%
Free Cash Flow/Sales-8.74%-144.77%-25.39%-27.04%-20.33%
Free Cash Flow/Net Income0.2020.5059.56-3.23-2.20
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