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SSE PLC
Cash from Financing Activities
SSE PLC
Cash from Financing Activities Peer Comparison
Competitors Analysis
Latest Figures & CAGR of Competitors
Company | Cash from Financing Activities | CAGR 3Y | CAGR 5Y | CAGR 10Y | ||
---|---|---|---|---|---|---|
SSE PLC
LSE:SSE
|
Cash from Financing Activities
-ÂŁ857.6m
|
CAGR 3-Years
-1%
|
CAGR 5-Years
-40%
|
CAGR 10-Years
-5%
|
||
M
|
Mast Energy Developments PLC
LSE:MAST
|
Cash from Financing Activities
ÂŁ595.2k
|
CAGR 3-Years
N/A
|
CAGR 5-Years
97%
|
CAGR 10-Years
N/A
|
SSE PLC
Glance View
In the dynamic landscape of the energy sector, SSE PLC stands as a robust player primarily operating within the United Kingdom and Ireland. Established through decades of evolution, SSE has strategically positioned itself in both the generation and supply domains of electricity and gas. The company primarily generates revenue by producing and supplying electricity and gas to millions of homes and businesses. Crucially, SSE has invested significantly in renewable energy, thus broadening its portfolio and aligning with global trends towards sustainability. Wind farms, both onshore and offshore, form a considerable portion of its energy production, allowing SSE to tap into cleaner and increasingly cost-effective energy sources. While its roots are deeply embedded in traditional energy generation, a significant part of SSE's business model hinges on the regulated networks it owns and operates. These infrastructure assets ensure the transmission and distribution of electricity—an essential service that guarantees a stable revenue stream. Furthermore, SSE’s venture into energy-related services helps enhance its value proposition in a highly competitive market. Whether it's performing maintenance on energy installations or improving energy efficiency for large-scale facilities, these services provide additional revenue channels, reinforcing its commitment to an integrated approach of delivering reliable energy solutions while supporting the transition to a low-carbon economy. Through such multifaceted operations, SSE PLC continues to navigate and adapt amid a rapidly evolving industry landscape.
See Also
What is SSE PLC's Cash from Financing Activities?
Cash from Financing Activities
-857.6m
GBP
Based on the financial report for Mar 31, 2024, SSE PLC's Cash from Financing Activities amounts to -857.6m GBP.
What is SSE PLC's Cash from Financing Activities growth rate?
Cash from Financing Activities CAGR 10Y
-5%
The average annual Cash from Financing Activities growth rates for SSE PLC have been -1% over the past three years , -40% over the past five years , and -5% over the past ten years .