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PPL Corp Revenue Breakdown

Period 2026-06-30 (quarterly)

PPL Corp reported revenue of $2.11B for the period ended 2026-06-30, +4.2% year on year. Net income was $0.23B, a 10.9% net margin on a 44.6% gross margin. Free cash flow for the period was $-0.70B.

ItemAmountY/Y
Revenue$2.11B+4.2%
Gross profit$0.94B
Operating income$0.47B
Net income$0.23B+25.7%
Gross margin44.6%Net margin 10.9%
Revenue Q/Q-23.9%

Revenue Segments

The filing did not disclose a revenue breakdown for this period.

Costs & Expenses

ItemAmount% of revenue
Cost of revenue$1.17B55.4%
Tax & other$0.24B11.6%

Balance sheet & cash flow

ItemAmount
Operating cash flow$0.58B
Capital expenditure$1.28B
Free cash flow$-0.70B
Cash conversion (OCF / net income)253%
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Source: SEC EDGAR · This page shows public filing data only, not investment advice. · Browse all companies