The Globe and Mail

Go to the Globe and Mail homepage

Jump to main navigationJump to main content

The Globe and Mail has
updated our Stock Quote Pages
You are about to experience the newly designed Stock Quote Pages format. With the new layout, you'll enjoy a more in-depth look at the companies you're following and pages that are easier to navigate. This Editors' blog post explains why we've made these changes.

 

Public Service Enterprise Group Inc

NYSE: PEG
Last

(U.S.) $40.33

Today's change+0.39 +0.98%
Updated July 6 4:00 PM EDT. Delayed by at least 15 minutes.
 

Public Service Enterprise Group Inc

NYSE: PEG
Last

(U.S.) $40.33

Today's change+0.39 +0.98%
Updated July 6 4:00 PM EDT. Delayed by at least 15 minutes.

Public Service Enterprise Group Inc crosses above 20-day moving average

Public Service Enterprise Group Inc closed up Monday by (U.S.)$0.39 or 0.98% to (U.S.)$40.33 and crossing above its 20-day moving average. Over the last five days, shares have gained 2.83%, but are currently unchanged over the last year to date. Shares have performed in-line with the S&P 500 during the last year.

Key company metrics

  • Open(U.S.) $39.78
  • Previous close(U.S.) $39.94
  • High(U.S.) $40.38
  • Low(U.S.) $39.72
  • Bid / Ask(U.S.) $40.33 / (U.S.) $40.34
  • YTD % change-2.61%
  • Volume2,643,519
  • Average volume (10-day)3,363,975
  • Average volume (1-month)3,100,656
  • Average volume (3-month)2,947,860
  • 52-week range(U.S.) $34.05 to (U.S.) $44.45
  • Beta0.29
  • Trailing P/E11.93×
  • P/E 1 year forward13.66×
  • Forward PEG4.64×
  • Indicated annual dividend(U.S.) $1.56
  • Dividend yield3.87%
  • Trailing EPS(U.S.) $3.38
Updated July 6 4:00 PM EDT. Delayed by at least 15 minutes.

Profit

Net Profit (TTM)
+15.91%

Based on its net profit margin of 15.91%, Public Service Enterprise Group Inc is among the more effective companies in its industry at turning revenues into bottom line profit.
Company Books

S&P TSX0.60%Sector:UtilitiesIndustry:Utilities - Electric
  • Income Statement
  • Balance Sheet
  • Cash Flow
Quarter | Annual
Q1/2015Q4/2014Q3/2014Q2/2014
Fiscal Quarter Endvalues in (U.S.) $ millions unless otherwise notedMar 31, 201503/31/2015Dec 31, 201412/31/2014Sep 30, 201409/30/2014Jun 30, 201406/30/2014
Total revenue3,1352,7732,6412,249
Revenue3,1352,7732,6412,249
Other revenue, total--------
Cost of revenue, total--------
Total operating expense2,0921,9721,9051,886
Fuel expense1,094878863789
Operations & maintenance0000
Selling / general / administrative--------
Research & development--------
Depreciation / amortization330308318295
Interest expense (income), net operating--------
Unusual expense (income)56102
Other operating expenses, total--000
Operating income1,043801736363
Income before tax984781705324
Interest income (expense), net non-operating--------
Gain (loss) on sale of assets---31----
Allowance for funds used during construction--------
Other, net361450
Income after tax586476444212
Income tax, total398305261112
Net income586476444212
Total adjustments to net income--------
Net income before extra. items586476444212
Minority interest--------
Equity in affiliates--------
U.S. GAAP adjustment--------
Inc. avail. to common excl. extra. items586476444212
Inc. avail. to common incl. extra. items586476444212
Diluted net income586476444212
Dilution adjustment--0----
Diluted weighted average shares508510507508
Diluted EPS excluding extraordinary itemsvalue per share1.150.930.880.42
Dividends per sharevalue per share0.390.370.370.37
Diluted normalized EPSvalue per share1.160.980.890.42