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PCG

PG&E Corporation

Stock

$12.32+0.15 (+1.23%)Close Oct 2, 2026

Operating cash flow, 2025
$8.7B
YoY, 2025
+8.5%
10-year CAGR
+8.7%

Operating cash flow

Operating cash flow by fiscal year

PeriodOperating cash flowYoY
2025$8.7B+8.5%
2024$8.0B+69.3%
2023$4.7B+27.6%
2022$3.7B+64.5%
2021$2.3B—
2020−$19.1B—
2019$4.8B+1.3%
2018$4.8B−20.5%
2017$6.0B+35.6%
2016$4.4B+16.6%
2015$3.8B+2.4%
2014$3.7B+7.7%
2013$3.4B−29.8%
2012$4.9B+30.6%
2011$3.7B+16.6%
2010$3.2B+5.5%
2009$3.0B+10.0%
2008$2.8B+7.9%
2007$2.6B—