Parsley Energy, Inc.

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PE
Terfi
Altı ay boyunca karlılık: 0%
Temettü getirisi: 0%
Sektör: Energy

Raporlama Parsley Energy, Inc.

Büyük harf kullanımı

2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 LTM 5 yıllık ortalama CAGR 5
Büyük harf kullanımı, milyar $
2.07 1.77 2.99 11.07 7.41 4.98 7.13 7.13 6.72 18.98
Gelir, milyar $
0.038 0.121 0.302 0.2661 0.4578 0.967 1.83 1.96 1.75 1.76 1.39 30.76
Net kar, milyar $
0.013 0.028 0.023 -0.0505 -0.0742 0.1068 0.3691 0.1752 -3.74 -3.74 -0.6326 119.02
Ev, milyar $
3.38 2.02 4 12.78 9.59 7.3 10.21 10.21 8.78 20.61
Fit, milyar $
0.1318 -0.0512 -0.0511 0.227 0.6829 0.4055 0.5835 0.3696 -262.75
FAVÖK, milyar $
0.124 0.18 0.575 1.26 1.2 1.26 1.26 0.8950 47.58
Denge değeri, milyar $
0.006 0.108 0.0614 1.26 2.09 4.71 5.57 5.76 3.82 4.39 12.82
FCF, milyar $
-0.009 -0.094 -0.373 -1.06 -0.304 -1.66 -2.64 -0.799 -0.162 0.144 -1.1130 -11.83
Opera.mnoe akışı, milyar $
0.005 0.0532 0.185 0.1723 0.2282 0.694 1.22 1.29 1.11 0.9084 37.21
Faaliyet karı, milyar $
0.021 0.053 0.059 -0.0745 0.0311 0.2668 0.6279 0.5373 -4.69 -0.218 -0.6454 -372.70
Opera. masraflar, milyar $
0.2458 0.3406 0.4266 0.7002 1.2 1.42 6.44 2.04 72.10
Capex, milyar $
0.099 0.426 1.25 0.4761 1.89 3.34 2.02 1.45 0.9622 0.962 1.93 -12.63


Muhasebe bakiyesi

2012 2013 2014 2015 2016 2017 2018 2019 2020 LTM 5 yıllık ortalama CAGR 5
Nakit, milyar $
0.0137 0.0194 0.0506 0.3442 0.1367 0.5542 0.1632 0.0207 0.0047 0.0023 0.1759 -49.04
Kısa vadeli yatırımlar $
0.0011 0.0033 0.1493 0.0512 413.91
Uzun vadeli yatırımlar $
0.0258 0.0164 0.0157 0.0201 0.0195 -6.05
Alacak hesapları $
0.0644 0.0366 0.0722 0.1657 0.1751 0.2412 0.1382 45.81
Toplam Cari Varlıklar $
0.2042 0.4883 0.2995 0.9195 0.5407 0.3984 0.2699 0.4856 -2.06
Saf varlıklar, milyar $
0.006 0.108 0.7072 0.4883 0.2995 0.9195 0.5407 0.3984 0.2699 0.4856 -2.06
Varlıklar, milyar $
0.1812 0.7426 2.05 2.51 3.94 8.79 9.39 9.86 7.84 7.96 14.75
Kısa vadeli borç $
0.6775 0.0355 0.1114 0.0873 0.1547 0.1585 0.1077 0.1239 -0.67
Uzun vadeli borç $
0.1129 0.43 0.6768 0.5559 1.04 2.18 2.18 2.18 3 2.12 23.60
Borç, milyar $
0.1752 0.6345 1.06 0.9276 1.51 2.91 3.07 3.33 3.72 2.91 19.76
Saf borç, milyar $
0.0992 0.4106 1.3 0.2472 1.02 1.71 2.17 2.32 1.49 56.49
Borç, milyar $
0.1129 0.43 1.35 0.5914 1.15 2.27 2.34 2.34 3.09 3.09 2.24 21.86
Faiz geliri $
0.015 0.000992 0.0079 0.0055 0.000801 0.0060 -44.34
Faiz masrafları, milyar $
0.0456 0.0552 0.0974 0.1315 0.1336 0.1561 0.1148 23.11
Saf faiz geliri, milyar $
0.015 0.000992 0.0079 0.0055 0.000801 0.1286 0.0288 164.57
Maliyet, milyar $
0.0071 0.0249 0.1103 0.0807 0.321 0.5141 0.8701 1.14 0.5852 69.83
Tıbbi malzemeler $
0.0022 0.0031 0.0038 0.0030 19.98


Terfi

2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 LTM 5 yıllık ortalama CAGR 5
EPS 0.11 0.23 0.65 -0.4548 -0.4579 0.3396 1.17 0.5533 -9.05 -10.04 -1.4890 81.62
AO'nun eyleminin fiyatı 35.24 29.44 15.98 18.91 14.2 16.93 16.93 16.93 16.93 16.93 16.38 3.58
AO hisselerinin sayısı, milyon 93 93 111 162 314 316.75 316.66 244.08 23.33
FCF/Promosyon -4.01 -11.43 -2.74 -10.23 -8.41 -7.3640 15.97


Yeterlik

2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2022 2023 2024 2025 LTM Sektördeki ortalama 5 yıllık ortalama CAGR 5
Roe, % 214.38 10.4 5.75 -5.12 -4.42 3.14 7.18 3.09 -78.06 -77.74 14.16 -13.8140 77.58
Roa, % 7.12 1.28 1.68 -2.21 -2.3 1.68 4.06 1.82 -42.22 -41.89 6.32 -7.3920 78.96
ROIC, % 14.53 4.19 4.86 -1.13 -1.22 3.72 6.38 3.47 -47.83 11.02 2.24 -225.16
Ros, % -18.97 -16.2 11.04 20.21 8.94 -212.93 -212.93 -212.93 -212.93 -212.93 9.34 -168.5560 -288.53
Roce, % 13.28 -2.24 -1.42 2.77 7.81 4.48 8.06 0 0 25.56 4.34 -241.52
Fit Marj -19.25 -11.16 23.47 37.39 20.7 0 0 15.57 10.23 -201.46
FAVÖK Kârlılığı -212.93 71.79 71.79 26.40 -70.5700 -158.06
Saf karlılık 54.5 43.4 19.4 -18.97 -16.2 11.04 20.21 8.94 -212.93 -12.4 9.84 -37.7880 67.40
Operasyonel verimlilik, % 19.39 -28.02 6.8 27.59 34.38 27.43 -12.42 -12.42 -12.42 -12.42 13.70 4.91 -181.58
Saf yüzde marjı, % 109.1 34.23 4.9 7.76 -18.97 -16.21 11.04 20.21 8.94 -212.93 10.16 1.00 -186.03
FCF karlılık, % -51.25 -17.15 -55.44 -23.88 -36.9300 -17.38


Katsayılar

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 LTM Sektördeki ortalama 5 yıllık ortalama CAGR 5
P/E
89.2 32.9 -40.11 86.68 13.46 35.39 11.3 11.3 16.21 21.34 -177.62
P/BV
3 2.9 3.5 1.57 0.7859 0.9506 1.5 1.7 1.80 1.66 -15.59
P/S
7.6 6.9 14.2 9.57 2.72 3.17 2.8 3.4 1.42 6.49 -27.73
P/FCF
49.51 49.51 49.51 49.51 11.62 49.51 0.00
E/P
0.0127 -0.0273 -0.0166 0.0124 0.0498 0.0352 -0.5241 -0.5241 -0.5241 -0.5241 0.09 -0.2975 -260.12
EV/Fit
0 0 0 8.34
EV/FAVÖK
-2.67 -2.67 6.62 -2.6700 0.00
EV/S
10.43 7.88 11.98 10.67 5.25 3.73 5.82 5.82 5.82 5.82 1.75 5.29 2.08
EV/FCF
70.9 70.9 70.9 14.79 70.90 0.00
Borç/FAVÖK
2.45 2.45 2.45 2.45 1.91 2.45 0.00
Netdebt/FAVÖK
0 0 0 0 1.33
Borç/Oran
0.6603 0.2352 0.2927 0.2578 0.2488 0.2376 0 0 0 0 0.22 0.2544 0.20
Borç/özkaynak
1.91 0.4677 0.5516 0.481 0.4196 0.4067 0 0 0 0 1.24 0.4653 -2.76
Borç/net gelir
57.81 -11.71 -15.54 21.23 6.33 13.36 -0.8269 -0.8269 -0.8269 -0.8269 5.00 3.44 -166.56
Peg
1.29 1.29 90.41 1.29 0.00
Beta
2.25 0 0 0 0 0 0 0.36 2.25 0.00
Altman Endeksi
0 0 0 0 0 0 3.43


Temettü

2012 2015 2016 2017 2018 2019 2020 2021 2022 2023 LTM Sektördeki ortalama 5 yıllık ortalama CAGR 5
Div. Ödeme, milyar
0.0159 0.0189 0.0189 0.002 0.0195 0.0713 0.0261 30.41
Temettü
0.03 0.05 0.06 0.2 0 0.0850 60.69
Div geliri, ao, %
0 0 0 0 0.1532 1.46 0.2953 0 0 0 4.27 0.6362 24.45
Temettü / kar, %
123.54 -37.5 -25.52 17.73 0.5315 11.15 82.57 -6.7217 -178.46


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Dinlenmek

2015 2016 2017 2018 2019 CAGR 5
Capex/gelir, %
178.95 411.86 344.99 110.49 73.92 -16.21