NRG Energy, Inc. (NRG) Financial Statements & Historical Data

NRG Energy, Inc. (NRG) — Price $96.80 — Utilities — Independent Power Producers — NYSE

Latest reported results:

Detailed financial statements for NRG Energy, Inc. (NRG): income statement, balance sheet and cash-flow summary. Track margins, debt, liquidity and profitability trends year over year: ten fiscal years free and up to 20 with Premium.

NRG Energy, Inc., together with its affiliated entities, operates as a comprehensive power utility spanning the United States. Its operations are divided into three main geographical divisions: Texas, East, and West. The company plays a crucial role in generating, distributing, and selling electricity and various related services, serving approximately six million customers across residential, commercial, industrial, and wholesale sectors.

Analysis Summary

NRG Energy, Inc. reported revenue of $30.71B in the most recent fiscal year, growing at a 5-year CAGR of 27.6%. Net income reached $864.0M, with a 11.1% 5-year CAGR.

Trailing-twelve-month margins: gross margin 16.4%, operating margin 5.4%, net margin 2.3%. Free cash flow grew at -13.8% CAGR over 5 years.

At the current price of $96.80, NRG trades at a P/E of 24.99 and an ROE of 51.40%. Market capitalisation stands at $20.4B, placing it among large-cap names.

Balance sheet quality for NRG: current ratio of 1.6, net debt of $9.84B. A debt-to-equity below 1.0 typically signals conservative capital structure, while a current ratio above 1.5 indicates comfortable short-term liquidity.

Cash flow quality is decent: free cash flow of $766.0M represents 89% conversion of reported net income. High conversion (above 90%) suggests earnings translate cleanly into cash; lower conversion may indicate working capital tightness or accounting timing differences.

Income Statement (10y)

Year2016201720182019202020212022202320242025
Revenue$8.91B$9.07B$9.48B$9.82B$9.09B$26.99B$31.54B$28.82B$28.13B$30.71B
Cost of Revenue$6.68B$6.89B$7.11B$7.30B$6.54B$20.48B$27.44B$26.53B$22.10B$24.00B
Gross Profit$2.24B$2.19B$2.37B$2.52B$2.55B$6.51B$4.10B$2.30B$6.03B$6.71B
Research & Development$48.0M$22.0M$11.0M$7.0M$8.0M00000
Selling, General & Admin$1.03B$836.0M$799.0M$760.0M$810.0M$1.29B$1.15B$1.84B$2.35B$4.84B
Operating Expenses$2.21B$2.93B$1.39B$1.23B$1.45B$3.17B$2.08B$1.91B$3.61B$4.86B
Operating Income$33.0M-$741.0M$982.0M$1.29B$1.10B$3.34B$2.02B$384.0M$2.42B$1.85B
EBITDA$541.0M-$131.0M$1.49B$1.70B$1.72B$4.18B$2.80B$1.75B$3.50B$3.81B
Interest Expense$583.0M$557.0M$483.0M$413.0M$401.0M$485.0M$417.0M$667.0M$651.0M$772.0M
Pre-tax Income-$931.0M-$1.39B$467.0M$786.0M$761.0M$2.86B$1.66B-$213.0M$1.45B$1.08B
Income Tax$25.0M-$44.0M$7.0M-$3.33B$251.0M$672.0M$442.0M-$11.0M$323.0M$214.0M
Net Income-$774.0M-$2.15B$268.0M$4.44B$510.0M$2.19B$1.22B-$202.0M$1.12B$864.0M
EPS$-2.22$-6.79$0.88$16.94$2.08$8.93$5.17$-1.12$5.14$4.09
EPS (Diluted)$-2.22$-6.79$0.87$16.81$2.07$8.93$5.17$-1.12$4.99$4.01
Shares Outstanding (Diluted)$316.0M$317.0M$308.0M$264.0M$246.0M$245.0M$236.0M$228.0M$212.0M$199.0M

Income Statement (Quarterly)

Year2025-Q32025-Q42026-Q12026-Q2
Revenue$7.63B$7.75B$10.30B$11.06B
Gross Profit$1.03B$2.54B$850.0M$1.61B
Operating Income$422.0M$251.0M$257.0M$1.05B
EBITDA$786.0M$1.21B$237.0M$1.99B
Net Income$152.0M$66.0M$125.0M$506.0M
EPS$0.70$0.26$0.52$2.34
EPS (Diluted)$0.69$0.26$0.52$2.34

Balance Sheet (10y)

Year2016201720182019202020212022202320242025
Cash & Equivalents$938.0M$770.0M$563.0M$345.0M$3.90B$250.0M$430.0M$541.0M$966.0M$4.74B
Short-term Investments000000000$2.19B
Receivables$1.07B$1.08B$1.02B$1.02B$904.0M$3.93B$4.77B$3.54B$3.49B$4.07B
Inventory$721.0M$453.0M$412.0M$383.0M$327.0M$498.0M$751.0M$607.0M$478.0M$461.0M
Total Current Assets$6.73B$4.44B$3.60B$3.09B$6.03B$10.84B$16.23B$9.73B$8.96B$13.15B
Property, Plant & Equipment$15.37B$5.97B$3.05B$3.06B$2.85B$1.96B$1.92B$1.94B$2.17B$3.76B
Goodwill$662.0M$539.0M$573.0M$579.0M$579.0M$1.79B$1.65B$5.08B$5.01B$5.02B
Intangible Assets$2.04B$1.75B$591.0M$789.0M$668.0M$2.51B$2.13B$3.93B$2.91B$2.31B
Total Assets$30.36B$23.32B$10.63B$12.53B$14.90B$23.18B$29.15B$26.04B$24.02B$29.14B
Accounts Payable$782.0M$684.0M$863.0M$722.0M$649.0M$2.27B$3.64B$2.33B$2.51B$2.83B
Short-term Debt$516.0M$204.0M$72.0M$88.0M$1.0M$4.0M$63.0M$620.0M$996.0M$66.0M
Total Current Liabilities$4.38B$3.32B$2.40B$2.36B$1.92B$7.92B$12.98B$9.50B$8.81B$8.03B
Long-term Debt$15.96B$9.18B$6.45B$5.80B$8.69B$7.97B$7.98B$10.13B$9.81B$16.54B
Total Liabilities$25.86B$21.27B$11.84B$10.85B$13.22B$19.58B$25.32B$23.13B$21.54B$27.46B
Retained Earnings-$3.79B-$6.27B-$6.02B-$1.62B-$1.40B$464.0M$1.41B$820.0M$1.53B$1.98B
Total Equity$2.04B-$346.0M-$1.23B$1.66B$1.68B$3.60B$3.83B$2.91B$2.48B$1.68B
Total Debt$16.47B$9.38B$6.52B$6.45B$9.04B$8.29B$8.30B$10.97B$10.99B$16.77B
Net Debt$15.54B$8.61B$5.96B$6.10B$5.13B$8.04B$7.87B$10.43B$10.03B$9.84B
Working Capital$2.35B$1.12B$1.20B$729.0M$4.11B$2.93B$3.25B$227.0M$151.0M$5.12B

Balance Sheet (Quarterly)

Year2025-Q32025-Q42026-Q12026-Q2
Cash & Equivalents$762.0M$4.74B$235.0M$162.0M
Total Assets$23.97B$29.14B$40.05B$39.94B
Total Liabilities$22.00B$27.46B$35.18B$35.09B
Total Equity$1.97B$1.68B$4.87B$4.86B
Total Debt$12.11B$16.77B$23.36B$23.47B

Cash Flow (10y)

Year2016201720182019202020212022202320242025
Net Income-$891.0M-$1.55B$460.0M$4.44B$510.0M$2.19B$1.22B-$202.0M$1.12B$864.0M
Depreciation & Amortization$889.0M$701.0M$540.0M$497.0M$559.0M$836.0M$688.0M$1.17B$1.07B$896.0M
Stock-based Compensation$10.0M$35.0M$25.0M$20.0M$22.0M$21.0M$28.0M$101.0M$102.0M$134.0M
Change in Working Capital$317.0M-$432.0M-$281.0M-$3.56B$392.0M-$3.12B-$2.71B-$383.0M-$1.04B-$906.0M
Operating Cash Flow$2.07B$1.39B$1.38B$1.41B$1.84B$493.0M$360.0M-$221.0M$2.31B$1.91B
Capital Expenditure-$976.0M-$254.0M-$388.0M-$228.0M-$230.0M-$269.0M-$367.0M-$598.0M-$472.0M-$1.15B
Acquisitions-$136.0M$416.0M$1.05B$939.0M-$203.0M-$2.73B$47.0M-$516.0M$463.0M-$596.0M
Stock Repurchased-$226.0M-$2.0M-$1.25B-$1.44B-$229.0M-$48.0M-$606.0M-$1.17B-$935.0M-$1.40B
Dividends Paid-$76.0M-$38.0M-$37.0M-$32.0M-$295.0M-$319.0M-$332.0M-$381.0M-$405.0M-$411.0M
Free Cash Flow$1.11B$1.36B$989.0M$1.19B$1.61B$224.0M-$7.0M-$819.0M$1.83B$766.0M

Cash Flow (Quarterly)

Year2025-Q32025-Q42026-Q12026-Q2
Operating Cash Flow$484.0M$123.0M-$169.0M$1.12B
Capital Expenditure-$254.0M-$298.0M-$317.0M-$338.0M
Free Cash Flow$230.0M-$175.0M-$486.0M$779.0M
Dividends Paid-$119.0M-$85.0M-$135.0M-$100.0M
Stock-based Compensation$21.0M$51.0M$41.0M$31.0M

Growth & Margins (10y)

Year2016201720182019202020212022202320242025
Revenue Growth (YoY)+1.8%+4.5%+3.6%-7.4%+196.8%+16.9%-8.6%-2.4%+9.2%
Net Income Growth (YoY)-178.2%+112.4%+1,556.0%-88.5%+328.8%-44.2%-116.5%+656.9%-23.2%
EPS Growth (YoY)-205.9%+113.0%+1,825.0%-87.7%+329.3%-42.1%-121.7%+558.9%-20.4%
Shares Change (YoY)+0.3%-2.8%-14.3%-6.8%-0.4%-3.7%-3.4%-7.0%-6.1%
FCF Growth (YoY)+21.9%-27.1%+19.8%+35.6%-86.1%-103.1%-11,600.0%+323.9%-58.2%
Gross Margin25.1%24.1%25.0%25.6%28.1%24.1%13.0%8.0%21.4%21.8%
Operating Margin0.4%-8.2%10.4%13.1%12.2%12.4%6.4%1.3%8.6%6.0%
EBITDA Margin6.1%-1.4%15.7%17.3%18.9%15.5%8.9%6.1%12.4%12.4%
Net Margin-8.7%-23.7%2.8%45.2%5.6%8.1%3.9%-0.7%4.0%2.8%
FCF Margin12.5%14.9%10.4%12.1%17.7%0.8%-0.0%-2.8%6.5%2.5%
Effective Tax Rate-2.7%3.2%1.5%-424.2%33.0%23.5%26.6%5.2%22.3%19.9%

Per-Share Data (10y)

Year2016201720182019202020212022202320242025
FCF Per Share$3.52$4.28$3.21$4.49$6.53$0.91$-0.03$-3.59$8.65$3.85
Dividends Per Share$0.24$0.12$0.12$0.12$1.20$1.30$1.41$1.67$1.91$2.07
Shares Outstanding (Basic)$316.0M$317.0M$304.0M$262.0M$245.0M$245.0M$236.0M$228.0M$206.0M$195.0M

What to look at in Utilities

Regulated businesses with slow growth but reliable dividends. They are bonds on steroids — look at debt, rates, and payout consistency.

Profitability

Return on Equity51.40%
Return on Invested Capital7.00%
Return on Assets2.96%
Gross Margin16.42%
Operating Margin5.38%
Net Margin2.31%

Financial Health

Debt / Equity4.83
Current Ratio0.97
Piotroski F-Score6
Altman Z-Score2.25

Key Ratios (10y)

Year2016201720182019202020212022202320242025
P/E-5.52-4.1945.002.3518.054.826.15-46.1617.5538.93
P/B1.90-26.09-9.766.285.482.931.964.067.5018.47
P/S0.430.991.271.061.010.390.240.410.661.01
Gross Margin25.1%24.1%25.0%25.6%28.1%24.1%13.0%8.0%21.4%21.8%
Operating Margin0.4%-8.2%10.4%13.1%12.2%12.4%6.4%1.3%8.6%6.0%
Net Margin-8.7%-23.7%2.8%45.2%5.6%8.1%3.9%-0.7%4.0%2.8%

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Explore sector: Utilities · Independent Power Producers

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