Quanta Services, Inc.
Quanta Services, Inc.
PWR
Valuace
30
Růst
83
Zdraví
86
Cena
$ 444.13
Dnes
+19.11 (4.27%)
Souhrn
Výkazy
Ukazatele
Profil
Držitelé
Návštěvnost webu
Konkurence
Zprávy společnosti
Kapitalizace
65.9B
Obrat
28B
Zisk
1B
Aktiva
23B
Dluh
6B
ROE
0%
ROA
0%
PE
82
PS
3
Cena 1R
227-481
⌀ Cena
387.28
Dividenda
0.0(0.0%)
Čtvrtletní 10-Q
10-Q
Celoroční 10-K
8-K
Nadcházející oznámení zisků
19-02-2026
Poslední dividenda
02-01-2026

Profil

Quanta Services, Inc. poskytuje specializované smluvní služby po celém světě. Segment řešení pro infrastrukturu elektrické energie se zabývá návrhem, nákupem, výstavbou, modernizací, opravami a údržbou infrastruktury pro přenos a distribuci elektrické energie a rozvoden; energetizovanou instalací, údržbou a modernizací projektů infrastruktury elektrické energie; instalací technologií inteligentních sítí na elektrických rozvodných sítích; a návrhem, instalací, údržbou a opravou komerčních a průmyslových svodidel. Tento segment také nabízí letecké služby, služby nouzové obnovy a další inženýrské a technické služby, projektování a konstrukční řešení pro bezdrátové a bezdrátové komunikace, provozovatele kabelových multisystémů a další zákazníky a školení pro pracovníky v elektroenergetice, jakož i školení pro distribuci plynu a komunikační průmysl. Segment Řešení v oblasti infrastruktury obnovitelné energie se týká inženýrství, zadávání zakázek, výstavby, modernizace, oprav a údržby zařízení na výrobu energie z obnovitelných zdrojů, jako jsou větrná, solární a vodní zařízení, jakož i zařízení pro akumulaci baterií, a poskytování inženýrských a stavebních služeb pro rozvodny a rozvaděče, přenos a další elektrické infrastruktury. Segment Underground Utility and Infrastructure Solutions nabízí zákazníkům, kteří se zabývají přepravou, distribucí, skladováním a zpracováním zemního plynu, ropy a dalších produktů, projektování, konstrukcí, modernizací, opravami a údržbou; výrobou potrubních podpůrných systémů a souvisejících struktur a zařízení; a inženýrstvím a výstavbou potrubních a skladovacích systémů a kompresorových a čerpacích stanic. Společnost byla dříve známá jako Fabal Construction, Inc. a v listopadu 1997 změnila svůj název na Quanta Services, Inc. Quanta Services, Inc. byla založena v roce 1997 a sídlí v Houstonu v Texasu.
Sektor
Industrials
Odvětví
Engineering & Construction
Počet zaměstnanců
58400
Založení
1998-02-12
Adresa
2800 Post Oak Boulevard
CEO
Earl C. Austin Jr.

Zahraniční články

Výsledovka

Rozvaha

Peněžní toky

Výsledovka

Výsledovka
Rozvaha
Peněžní toky
V miliardách (USD)
Revenue TTM 2025202420232022202120202019201820172016201520142013201220112010
Total Revenues28.3528.3523.6720.8817.0712.9811.2012.1111.179.477.657.577.856.525.924.623.93
Cost of Revenues24.6624.6620.5417.9514.5411.039.5410.519.698.226.646.656.625.474.984.003.30
Gross Profit3.693.693.132.942.531.951.661.601.481.241.010.921.231.060.940.620.63
Revenue 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Total Revenues7.847.516.776.236.556.495.595.035.785.62
Cost of Revenues6.866.415.885.515.615.594.864.495.074.77
Gross Profit0.991.090.890.720.950.900.730.550.720.85
Operating Income TTM 2025202420232022202120202019201820172016201520142013201220112010
R&D Expenses0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
Selling General & Admin Expenses0.000.000.001.561.341.160.980.960.860.780.650.590.580.500.430.370.34
Depreciation & Amortization0.850.850.740.610.330.210.090.170.040.030.030.030.040.030.040.030.04
Total Operating Expenses2.062.061.791.811.691.321.051.020.900.810.690.630.760.530.470.400.38
Operating Income1.641.641.341.130.870.660.610.550.540.380.320.240.480.530.470.220.26
Operating Income TTM 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
R&D Expenses0.000.000.000.000.000.000.000.000.000.00
Selling General & Admin Expenses0.000.000.000.000.000.000.000.000.380.39
Depreciation & Amortization0.130.300.210.210.210.200.160.170.160.15
Total Operating Expenses0.500.570.500.480.500.480.420.390.380.46
Operating Income0.490.520.390.240.450.430.310.160.330.40
Net Income TTM 2025202420232022202120202019201820172016201520142013201220112010
Interest Income0.020.020.030.010.000.000.000.000.000.000.000.000.000.000.000.000.00
Interest Expense0.260.260.200.190.120.070.050.070.040.020.010.010.000.000.000.000.00
Other Expense-0.23-0.23-0.13-0.16-0.17-0.04-0.040.02-0.09-0.06-0.01-0.060.000.110.000.00-0.01
IBT1.411.411.210.970.700.620.570.570.460.350.310.230.470.640.460.220.25
Income Tax Expense0.370.370.280.220.190.130.120.170.160.040.110.100.160.220.160.070.09
Net Income1.031.030.900.740.490.490.450.400.290.310.200.310.300.400.310.130.15
Net Income TTM 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Interest Income0.000.000.000.000.010.010.000.010.010.00
Interest Expense0.080.070.060.050.060.060.050.040.050.05
Other Expense-0.05-0.05-0.07-0.06-0.03-0.04-0.04-0.01-0.03-0.05
IBT0.440.460.320.190.420.380.270.150.290.35
Income Tax Expense0.120.120.090.040.110.080.080.020.080.08
Net Income0.320.340.230.140.310.290.190.120.210.27
Per Share Data TTM 2025202420232022202120202019201820172016201520142013201220112010
EPS$0.00$0.00$0.00$5.13$3.57$3.45$3.15$2.76$1.92$2.02$1.26$1.59$1.35$1.87$1.44$0.62$0.73
EPS Diluted$0.00$0.00$0.00$5.00$3.46$3.34$3.07$2.73$1.90$2.00$1.26$1.59$1.35$1.87$1.44$0.62$0.72
Shares Outstanding0.150.150.150.150.140.140.140.150.150.160.160.200.220.210.210.210.21
Diluted Shares Outstanding0.150.150.150.150.150.150.150.150.150.160.160.200.220.210.210.210.21
Per Share Data TTM 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
EPS$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$1.45$1.88
EPS Diluted$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$1.42$1.83
Shares Outstanding0.150.150.150.150.150.150.150.150.150.15
Diluted Shares Outstanding0.150.150.150.150.150.150.150.150.150.15
Current Assets TTM 202420232022202120202019201820172016201520142013201220112010
Cash And Equivalents0.520.741.290.430.230.180.160.080.140.110.130.190.490.390.320.54
Short Term Investments0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
Total Cash & ST Investments0.520.741.290.430.230.180.160.080.140.110.130.190.490.390.320.54
Accounts Receivable5.666.385.824.754.203.173.352.932.481.971.942.101.651.671.070.77
Inventory0.240.260.180.100.080.050.060.110.080.090.080.040.030.040.070.05
Other Current Assets0.470.470.390.250.220.180.260.210.170.110.130.220.140.100.210.14
Total Current Assets6.897.857.685.544.733.593.833.332.872.292.282.552.312.201.771.60
Current Assets 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Cash And Equivalents0.610.510.520.740.760.520.531.290.310.36
Short Term Investments0.000.000.000.000.000.000.000.000.000.00
Total Cash & ST Investments0.610.510.520.740.760.520.531.290.310.36
Accounts Receivable7.926.736.556.386.485.665.374.415.925.43
Inventory0.330.290.260.260.280.240.220.180.160.16
Other Current Assets0.610.650.500.470.530.480.462.180.350.37
Total Current Assets9.478.187.837.858.056.896.587.686.746.32
Long-Term Assets TTM 202420232022202120202019201820172016201520142013201220112010
Net Property, Plant & Equipment2.743.002.592.262.161.821.671.281.291.171.101.481.211.050.970.90
Goodwill4.315.324.053.593.532.122.021.901.871.601.551.931.781.541.601.56
Intangible Assets1.391.861.361.461.800.440.410.280.260.190.210.260.210.180.210.19
Long-Term Investments0.270.390.000.00-0.19-0.17-0.21-0.22-0.18-0.19-0.19-0.30-0.24-0.23-0.23-0.21
Other Long-Term Assets0.020.270.570.390.630.440.390.290.190.100.080.090.290.170.150.09
Total Long-Term Assets9.0410.838.567.938.124.814.503.753.613.072.943.763.482.942.932.74
Total Assets15.9318.6816.2413.4612.868.408.337.086.485.355.216.315.795.144.704.34
Long-Term Assets 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Net Property, Plant & Equipment3.343.233.103.002.952.742.702.592.542.48
Goodwill6.705.675.565.325.284.314.284.053.903.89
Intangible Assets2.321.921.961.861.971.391.411.361.361.42
Long-Term Investments0.000.590.410.390.390.270.250.32-0.26-0.25
Other Long-Term Assets0.900.290.280.270.230.330.32-0.010.650.63
Total Long-Term Assets13.2711.7111.3010.8310.829.048.968.568.458.42
Total Assets22.7419.8919.1318.6818.8715.9315.5416.2415.1914.74
Current Liabilities TTM 202420232022202120202019201820172016201520142013201220112010
Accounts Payable2.022.102.031.301.250.801.491.311.060.920.780.880.800.710.340.00
Short-Term Debt0.630.160.690.110.110.100.170.070.000.010.010.010.000.000.000.00
Other Current Liabilities1.111.630.960.851.000.710.000.000.000.000.020.000.000.000.420.50
Current Liabilities5.326.035.213.413.162.142.261.811.491.211.201.141.040.880.780.50
Current Liabilities 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Accounts Payable4.392.342.192.102.322.021.852.031.991.67
Short-Term Debt0.200.190.170.160.650.630.630.690.200.19
Other Current Liabilities0.001.311.481.631.681.180.910.962.001.90
Current Liabilities7.045.985.996.036.535.324.835.214.193.76
Long-Term Liabilities TTM 202420232022202120202019201820172016201520142013201220112010
Long-Term Debt2.944.323.723.863.891.351.491.040.670.350.480.070.000.000.000.00
Capital Leases0.250.320.260.250.250.260.290.000.000.000.000.000.000.000.000.00
Def. Tax Liability0.310.350.250.230.190.170.210.620.520.450.450.580.510.490.530.47
Total Liabilities9.3511.359.958.077.744.054.283.472.682.012.131.791.551.371.310.97
Long-Term Liabilities 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Long-Term Debt5.814.924.584.324.363.183.383.724.104.37
Capital Leases0.390.370.310.320.320.250.290.220.270.26
Def. Tax Liability0.450.370.380.350.340.310.300.250.260.25
Total Liabilities14.3412.0211.6611.3511.789.359.189.959.199.01
Total Common Equity TTM 202420232022202120202019201820172016201520142013201220112010
Common Stock0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
Retained Earnings5.145.714.864.163.713.262.852.482.191.881.681.371.070.670.360.23
Comprehensive Income-0.32-0.37-0.28-0.31-0.24-0.23-0.24-0.29-0.20-0.27-0.29-0.12-0.040.010.000.01
Total Common Equity6.577.326.275.385.114.344.053.603.793.343.094.514.233.773.383.37
Total Common Equity 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Common Stock0.000.000.000.000.000.000.000.000.000.00
Retained Earnings6.386.055.845.715.425.144.964.864.664.40
Comprehensive Income-0.33-0.30-0.37-0.37-0.31-0.32-0.31-0.28-0.32-0.29
Total Common Equity8.407.867.467.327.076.576.366.275.995.72
Other TTM 202420232022202120202019201820172016201520142013201220112010
Total Debt3.824.484.463.984.001.451.661.110.670.360.480.080.000.000.000.00
Book Value6.587.336.285.405.124.354.053.613.803.343.094.534.243.773.393.37
Other 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Total Debt0.010.010.020.010.020.010.010.010.010.01
Book Value8.407.867.467.327.076.576.366.275.995.72
Cash Flow From Operating Activities TTM 2025202420232022202120202019201820172016201520142013201220112010
Net Income0.801.030.930.740.510.490.450.410.300.320.200.130.320.420.310.140.16
Depreciation & Amortization0.640.910.740.610.640.420.300.280.250.220.200.200.190.160.160.150.15
Stock-Based Compensation0.140.180.150.130.110.090.090.050.050.050.040.040.040.040.030.020.02
Change Working Capital0.460.020.250.06-0.23-0.460.33-0.16-0.40-0.24-0.060.21-0.38-0.03-0.34-0.09-0.12
Change In Accounts Receivable-0.07-1.07-0.170.00-0.35-0.250.07-0.21-0.48-0.430.140.15-0.23-0.07-0.34-0.29-0.08
Change In Accounts Payable0.410.650.050.770.140.100.120.040.110.01-0.050.00-0.050.120.120.22-0.02
Change In Inventories0.16-0.12-0.040.00-0.020.000.010.05-0.030.01-0.01-0.030.000.010.03-0.02-0.02
Other Non-cash Items0.400.090.020.020.060.010.00-0.050.100.070.010.080.10-0.12-0.07-0.010.00
Cash from Operations2.040.000.001.581.130.581.120.530.360.370.380.640.310.450.110.220.24
Cash Flow From Operating Activities 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Net Income0.320.340.230.150.310.300.190.130.210.27
Depreciation & Amortization0.250.240.210.210.210.200.160.170.160.15
Stock-Based Compensation0.050.050.040.040.040.040.040.040.030.03
Change Working Capital0.52-1.32-0.19-0.160.140.20-0.01-0.080.60-0.06
Change In Accounts Receivable0.03-0.61-0.09-0.080.07-0.35-0.340.440.26-0.30
Change In Accounts Payable-0.05-0.650.00-0.05-0.280.390.290.000.000.48
Change In Inventories-0.05-0.05-0.020.000.010.000.00-0.030.64-0.48
Other Non-cash Items0.061.180.010.000.020.000.010.000.01-0.02
Cash from Operations0.000.000.000.000.000.000.000.001.000.41
Cash Flow From Investing Activities TTM 2025202420232022202120202019201820172016201520142013201220112010
Capital Expenditure-0.50-0.61-0.60-0.43-0.43-0.39-0.26-0.26-0.31-0.24-0.21-0.21-0.30-0.26-0.21-0.17-0.15
Acquisitions-0.60-3.10-1.83-0.66-0.27-2.59-0.27-0.39-0.13-0.35-0.08-0.12-0.27-0.10-0.12-0.11-0.13
Investments0.00-0.150.000.000.000.390.000.000.000.000.000.850.020.010.000.000.00
Sales of Investment0.030.020.030.040.020.030.000.000.000.000.000.000.000.000.000.010.00
Other Investing Activities-0.110.000.000.060.06-0.340.040.030.030.020.020.000.000.040.320.000.03
Cash from Investing-1.010.000.00-0.99-0.62-2.90-0.50-0.62-0.40-0.58-0.270.52-0.54-0.32-0.01-0.28-0.25
Cash Flow From Investing Activities 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Capital Expenditure-0.19-0.15-0.14-0.13-0.15-0.21-0.16-0.08-0.11-0.15
Acquisitions-1.36-1.05-0.34-0.39-0.03-1.35-0.07-0.38-0.16-0.02
Investments0.000.000.000.000.000.000.000.000.000.00
Sales of Investment0.000.040.000.000.000.000.000.03-0.150.15
Other Investing Activities0.000.000.000.000.000.000.000.000.00-0.13
Cash from Investing0.000.000.000.000.000.000.000.00-0.27-0.15
Cash Flow From Financing Activities TTM 2025202420232022202120202019201820172016201520142013201220112010
Debt Repaid-5.680.000.000.41-9.35-4.27-4.19-5.91-4.08-2.63-2.87-2.94-0.90-0.34-1.05-0.01-0.15
Debt Issued4.984.480.020.909.326.823.996.464.512.942.753.340.980.341.050.000.15
Issuance of Common Stock0.460.000.000.000.006.813.976.150.000.000.000.000.000.000.000.000.00
Repurchase of Common Stock-0.08-0.13-0.160.00-0.13-0.07-0.25-0.02-0.44-0.050.00-1.61-0.090.000.00-0.150.00
Dividends Paid-0.050.000.00-0.05-0.04-0.03-0.03-0.020.000.000.000.000.000.000.000.000.00
Other Financing Activities4.400.000.00-0.099.21-0.08-0.10-0.024.502.912.753.330.930.331.040.000.00
Cash from Financing-0.870.000.000.27-0.312.36-0.600.18-0.020.23-0.12-1.22-0.06-0.02-0.02-0.16-0.15
Cash Flow From Financing Activities 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Debt Repaid0.000.000.000.000.000.000.000.000.21-0.29
Debt Issued6.020.910.360.27-0.531.19-0.19-0.460.420.02
Issuance of Common Stock0.000.000.000.000.000.000.000.000.000.00
Repurchase of Common Stock0.000.00-0.02-0.12-0.01-0.060.00-0.080.000.00
Dividends Paid0.000.000.000.000.000.000.000.00-0.01-0.01
Other Financing Activities0.000.000.000.000.000.000.000.000.050.00
Cash from Financing0.000.000.000.000.000.000.000.000.24-0.31
Cash position TTM 2025202420232022202120202019201820172016201520142013201220112010
Net Change in Cash0.15-0.30-0.550.860.200.050.020.09-0.060.03-0.02-0.06-0.300.090.08-0.22-0.16
Closing Cash Balance0.520.440.751.300.430.230.190.170.080.140.110.130.190.490.390.320.54
Cash position 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Net Change in Cash-0.170.10-0.01-0.22-0.020.25-0.01-0.760.99-0.06
Closing Cash Balance0.440.610.510.520.750.770.520.531.290.31
Free Cash Flow TTM 2025202420232022202120202019201820172016201520142013201220112010
Free Cash Flow1.541.621.481.140.700.200.860.260.050.130.170.430.010.18-0.100.050.09
Real Free Cash Flow1.401.441.331.010.600.110.760.210.000.080.120.39-0.030.15-0.130.020.07
Free Cash Flow 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Free Cash Flow0.930.420.160.110.570.530.230.150.890.26
Real Free Cash Flow0.880.370.110.070.530.490.190.120.860.23
Nacenění
Finance
Efektivita
Marže
Dividenda
Ostatní

Nacenění

Ukazatel Aktuální Historické Konkurence
P/E81.932.85649.9
P/S31.1218.6
P/B102.61051.1
P/FCF58.5-17.422128.9
Market cap$65.9$35.8
P/E (Price to Earnings Ratio) – Poměr ceny akcie k zisku za posledních 12 měsíců. Říká, kolik korun investor zaplatí za 1 korunu zisku. Např.: P/E = 15 znamená, že pokud akcie stojí 15 Kč, firma vydělala 1 Kč za poslední rok.

Finance

Ukazatel Aktuální Historické Srovnání
Debt to Assets0 %12.8 %0 %
Debt to Income585.2 %306.1 %0 %
Debt to Free cash flow418.3 %-20108 %0 %
Interest expense percentage16 %7.2 %48.8 %
Current ratio1.3 2 0

Efektivita

Ukazatel Aktuální Historické Srovnání
ROE12.2 %8.3 %0 %
ROA4.5 %4.4 %0 %
CapEx to Revenue2.2 %3 %4.9 %
RaD to Revenue0 %0 %0 %
ROEM485,470.6 233547.5

Marže

Ukazatel Aktuální Historické Srovnání
Gross margin13 %14.3 %38.2 %
Operating margin5.8 %5.4 %28.5 %
Net margin3.6 %3.7 %34.4 %

Dividenda

Ukazatel Aktuální Historické Srovnání
Dividend yield0 %0.1 %0 %
Dividend payout percentage0 %2.6 %0 %
Dividend yield (Dividendový výnos) ukazuje aktuální procentuální výnos z dividend vůči ceně akcie.

Ostatní

Ukazatel Aktuální Historické
Shares outstanding151.7 mil 173.2 mil
Employee count58.4 tis 21.8 tis

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Placený obsah

Pro přístup na tuto stránku budete potřebovat placené členství.

Vyzkoušejte placený obsah na akciích: Apple Inc. nebo CEZ, a. s.

Placený obsah

Pro přístup na tuto stránku budete potřebovat placené členství.

Vyzkoušejte placený obsah na akciích: Apple Inc. nebo CEZ, a. s.

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