PG&E Corporation (BIT:1PCG)
Italy flag Italy · Delayed Price · Currency is EUR
16.20
+0.50 (3.18%)
Last updated: Mar 3, 2026, 10:42 AM CET

PG&E Corporation Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
9721,213932947307
Cash & Short-Term Investments
9721,213932947307
Cash Growth
-19.87%30.15%-1.58%208.47%-51.04%
Accounts Receivable
11,74912,74410,4568,8376,551
Inventory
820820870842596
Short-Term Regulatory Assets
305234300296496
Other Current Assets
1,9842,2051,8251,8933,127
Total Current Assets
15,83017,21614,38312,81511,077
Net Property, Plant & Equipment
96,79888,75382,91977,51971,060
Special Use Funds
5,0344,2103,8074,0423,798
Long-Term Regulatory Assets
15,98115,56117,18916,4439,207
Other Long-Term Assets
7,9687,9207,4007,8258,185
Total Assets
141,611133,660125,698118,644103,327
Accounts Payable
7,4016,6652,3092,8882,855
Accrued Expenses
764760679626481
Short-Term Debt
2,6751,5233,9712,0552,184
Current Portion of Long-Term Debt
8212,1461,3762,2684,481
Current Portion of Leases
90662339231468
Short-Term Regulatory Liabilities
--1,6691,6581,121
Other Current Liabilities
4,5494,5746,9716,0625,837
Total Current Liabilities
16,30016,33017,31415,78817,427
Long-Term Debt
57,38753,56950,97547,74238,225
Long-Term Leases
3624431,0721,243810
Long-Term Regulatory Liabilities
20,18819,41719,44417,63011,999
Other Long-Term Liabilities
14,58213,50011,60113,16613,643
Total Long-Term Liabilities
92,51986,92983,09279,78164,677
Total Liabilities
108,819103,259100,40695,56982,104
Preferred Stock
1,5791,579---
Common Stock
31,63631,55530,37432,88735,129
Treasury Stock
----2,517-4,854
Accumulated Other Comprehensive Income
-25-19-13-5-20
Retained Earnings
-650-2,966-5,321-7,542-9,284
Total Common Shareholders' Equity
32,54030,14925,04022,82320,971
Minority Interest
252252252252252
Shareholders' Equity
32,79230,40125,29223,07521,223
Total Liabilities & Equity
141,611133,660125,698118,644103,327
Total Debt
61,33558,34357,73353,53946,168
Net Cash (Debt)
-60,363-57,130-56,801-52,592-45,861
Net Cash Per Share
-27.41-26.61-26.57-24.67-23.10
Book Value
32,54030,14925,04022,82320,971
Book Value Per Share
14.7814.0411.7110.7010.56
Tangible Book Value
32,54030,14925,04022,82320,971
Tangible Book Value Per Share
14.7814.0411.7110.7010.56
Updated Dec 31, 2025. Data Source: Fiscal.ai. Utilities template. Financial Sources.