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American Water Works
American Water Works
2016–2025 · Utility
2026-08-11
Overview
Earnings
Margins
Cash flow
Balance
Capital
Plot
USD millions
2016
2017
2018
2019
2020
2021
2022
2023
2024
2025
Revenue
3 302
3 357
3 440
3 610
3 777
3 930
3 792
4 234
4 684
5 140
Operating profit (EBIT)
1 080
1 253
1 102
1 214
1 248
1 196
1 273
1 504
1 718
1 879
Net income attributable to shareholders
468
426
569
−7 591
−7 503
1 263
820
944
1 051
1 111
EBIT margin
32,7%
37,3%
32,0%
33,6%
33,0%
30,4%
33,6%
35,5%
36,7%
36,6%
Operating cash flow
1 276
1 449
1 386
1 383
1 426
1 441
1 108
1 874
2 045
2 059
Free cash flow
−35
—
−200
−271
−396
−323
−1 189
−701
−811
−1 067
Cash
75
55
130
60
547
116
85
330
96
98
Interest-bearing debt
7 172
—
8 604
9 453
10 940
10 982
12 382
12 369
14 034
15 844
0
2 000
4 000
6 000
0,0%
10,0%
20,0%
30,0%
40,0%
2016
2017
2018
2019
2020
2021
2022
2023
2024
2025
3 302
3 357
3 440
3 610
3 777
3 930
3 792
4 234
4 684
5 140
1 080
1 253
1 102
1 214
1 248
1 196
1 273
1 504
1 718
1 879