CMS $72.69 (-3.73%) Quote details

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CMS Energy Corporation

NYSE | CMS

72.69

USD

-2.82 (-3.73%)

AT CLOSE (AS OF Apr 4, 2025)

$23B

MARKET CAP

22.68

P/E Ratio

3.33

EPS

$76

52 Week High

$55

52 Week Low

ENERGY & TRANSPORTATION

Sector

CMS Chart

1D
Area

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CMS Technicals

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CMS Earnings

Yearly Income Statement (As of Dec 31, 2024)

Field Value (USD)
Gross Profit $6.4B
Total Revenue $7.5B
Cost Of Revenue $1.1B
Costof Goods And Services Sold $624M
Operating Income $1.5B
Selling General And Administrative $482M
Research And Development -
Operating Expenses $2.2B
Investment Income Net -
Net Interest Income -$708M
Interest Income -
Interest Expense $682M
Non Interest Income $7.3B
Other Non Operating Income $175M
Depreciation $1B
Depreciation And Amortization $6M
Income Before Tax $1.2B
Income Tax Expense $176M
Interest And Debt Expense $708M
Net Income From Continuing Operations $993M
Comprehensive Income Net Of Tax $1B
Ebit $1.5B
Ebitda $1.9B
Net Income $1B

Revenue & Profitability

Earnings Performance

CMS Financials

yearly Balance Sheet (As of Dec 31, 2024)

Field Value (USD)
Total Assets $36B
Total Current Assets $2.8B
Cash And Cash Equivalents At Carrying Value $103M
Cash And Short Term Investments $103M
Inventory $769M
Current Net Receivables $561M
Total Non Current Assets $33B
Property Plant Equipment $27B
Accumulated Depreciation Amortization Ppe $9.6B
Intangible Assets -
Intangible Assets Excluding Goodwill -
Goodwill -
Investments $69M
Long Term Investments $69M
Short Term Investments -
Other Current Assets $103M
Other Non Current Assets $384M
Total Liabilities $28B
Total Current Liabilities $3.5B
Current Accounts Payable -
Deferred Revenue -
Current Debt $1.2B
Short Term Debt $2M
Total Non Current Liabilities $24B
Capital Lease Obligations $112M
Long Term Debt $18B
Current Long Term Debt $1.2B
Long Term Debt Noncurrent $15B
Short Long Term Debt Total $22B
Other Current Liabilities $209M
Other Non Current Liabilities $407M
Total Shareholder Equity $8.2B
Treasury Stock -
Retained Earnings $2B
Common Stock $3M
Common Stock Shares Outstanding $299M

yearly Cash Flow (As of Dec 31, 2024)

Field Value (USD)
Operating Cashflow $2.4B
Payments For Operating Activities $711M
Proceeds From Operating Activities -
Change In Operating Liabilities $15M
Change In Operating Assets -$164M
Depreciation Depletion And Amortization $1.2B
Capital Expenditures $3.2B
Change In Receivables -
Change In Inventory -$164M
Profit Loss $947M
Cashflow From Investment -$3.1B
Cashflow From Financing $614M
Proceeds From Repayments Of Short Term Debt -$28M
Payments For Repurchase Of Common Stock -
Payments For Repurchase Of Equity -
Payments For Repurchase Of Preferred Stock -
Dividend Payout $12M
Dividend Payout Common Stock $626M
Dividend Payout Preferred Stock -
Proceeds From Issuance Of Common Stock $286M
Proceeds From Issuance Of Long Term Debt And Capital Securities Net $2B
Proceeds From Issuance Of Preferred Stock -
Proceeds From Repurchase Of Equity $286M
Proceeds From Sale Of Treasury Stock -
Change In Cash And Cash Equivalents -
Change In Exchange Rate -
Net Income $1B

yearly Income Statement (As of Dec 31, 2024)

Field Value (USD)
Gross Profit $6.4B
Total Revenue $7.5B
Cost Of Revenue $1.1B
Costof Goods And Services Sold $624M
Operating Income $1.5B
Selling General And Administrative $482M
Research And Development -
Operating Expenses $2.2B
Investment Income Net -
Net Interest Income -$708M
Interest Income -
Interest Expense $682M
Non Interest Income $7.3B
Other Non Operating Income $175M
Depreciation $1B
Depreciation And Amortization $6M
Income Before Tax $1.2B
Income Tax Expense $176M
Interest And Debt Expense $708M
Net Income From Continuing Operations $993M
Comprehensive Income Net Of Tax $1B
Ebit $1.5B
Ebitda $1.9B
Net Income $1B

Dividends

Field Value
Ex Dividend Date 2025-02-14
Declaration Date 2025-02-06
Record Date 2025-02-17
Payment Date 2025-02-28
Amount 0.5425

CMS Profile

CMS Energy Corporation Profile

Sector: ENERGY & TRANSPORTATION

Industry: ELECTRIC & OTHER SERVICES COMBINED

CMS Energy (NYSE: CMS), based in Jackson, Michigan, is an energy company that is focused principally on utility operations in Michigan.

NVDA
-7.36%
$94.31
MULN
-2.52%
$0.0775
DMN
-7.95%
$0.0139
F
-6.01%
$9.54
TSLA
-10.42%
$239.43
INTC
-11.50%
$19.85
LGMK
-15.96%
$0.0158
PLTR
-11.47%
$74.01
RSLS
21.15%
$0.46
AMZN
-4.15%
$171
IBO
104.18%
$0.9474
MGOL
-20.43%
$0.37
AAL
-0.47%
$9.46
LCID
-1.72%
$2.28
BAC
-7.79%
$34.32
AAPL
-9.25%
$203.19
ALTM
0.00%
$5.84
CXAI
76.00%
$1.42
OSRH
68.03%
$2.47
SOFI
-10.06%
$9.57
GRAB
-12.44%
$3.73
LILM
-36.97%
$0.052
AREB
392.42%
$19.5
ICCT
34.99%
$5.71
HOOD
-9.80%
$34.51
PFE
-5.35%
$22.99
NIO
-7.49%
$3.46
RIG
-21.14%
$2.145
VALE
-6.58%
$9.09
AMD
-8.57%
$85.76
BBD
-4.15%
$2.195
NKE
2.88%
$57.18
GOOGL
-3.40%
$145.6
DNN
-4.62%
$1.24
T
-6.82%
$26.65
BTE
-18.75%
$1.625
WBD
-11.90%
$8.07
BABA
-9.90%
$116.52
SGMO
5.50%
$0.6565
LYT
-16.78%
$0.0982
SMCI
-7.74%
$29.82
PBR
-6.21%
$13.14
C
-8.10%
$57.94
JBLU
-5.52%
$3.94
PLUG
0.83%
$1.22
ET
-8.80%
$16.17
MU
-12.94%
$64.72
AGNC
-3.85%
$8.98
SLB
-11.30%
$34.78
ABEV
-4.75%
$2.305
SNAP
0.25%
$8.04
AMCR
-3.71%
$9.215
CX
-7.55%
$5.14
BTG
-8.90%
$2.66
OXY
-7.65%
$40.54
MARA
0.62%
$11.3
AVGO
-10.51%
$154.01
FCX
-13.01%
$29.15
CSCO
-4.83%
$54.54
VZ
-5.68%
$43.03
STSS
-7.55%
$0.0257
CCL
-4.57%
$16.49
GOOG
-3.20%
$147.74
META
-5.06%
$504.73
NKLA
-28.74%
$0.183
MRVL
-11.16%
$49.43
KGC
-7.13%
$11.785
WMT
-4.77%
$83.1
RGTI
-7.98%
$7.5
TSM
-6.72%
$146.8
CLF
-5.37%
$6.8705
RIVN
-2.78%
$11.21
LYG
-7.60%
$3.391
QBTS
-11.73%
$6.32
ACHR
-10.81%
$6.19
VFC
-1.07%
$11.555
IQ
-4.57%
$2.09
VRN
-6.14%
$6.27
HPE
-6.54%
$12.785
STLA
-4.85%
$9.715
SOUN
-11.81%
$7.32
APLD
-13.26%
$4.9095
WFC
-7.22%
$60.93
DGLY
-2.78%
$0.035
MSFT
-2.36%
$373.11
UBER
-7.00%
$64.9605
UAA
-1.96%
$5.255
ME
-21.26%
$0.6063
SHOP
-6.56%
$76.89
CUTR
-10.19%
$0.0969
KMI
-8.73%
$25.3
HBAN
-6.39%
$12.6
ERIC
-6.82%
$6.97
RXRX
-11.85%
$4.24
HIMS
-7.18%
$25.98
BON
-3.63%
$0.061
VRT
-11.95%
$59.41
JPM
-8.02%
$210.34
AG
-13.51%
$5.57
CSX
-2.79%
$27.21
NVDA
-7.36%
$94.31
MULN
-2.52%
$0.0775
DMN
-7.95%
$0.0139
F
-6.01%
$9.54
TSLA
-10.42%
$239.43
INTC
-11.50%
$19.85
LGMK
-15.96%
$0.0158
PLTR
-11.47%
$74.01
RSLS
21.15%
$0.46
AMZN
-4.15%
$171
IBO
104.18%
$0.9474
MGOL
-20.43%
$0.37
AAL
-0.47%
$9.46
LCID
-1.72%
$2.28
BAC
-7.79%
$34.32
AAPL
-9.25%
$203.19
ALTM
0.00%
$5.84
CXAI
76.00%
$1.42
OSRH
68.03%
$2.47
SOFI
-10.06%
$9.57
GRAB
-12.44%
$3.73
LILM
-36.97%
$0.052
AREB
392.42%
$19.5
ICCT
34.99%
$5.71
HOOD
-9.80%
$34.51
PFE
-5.35%
$22.99
NIO
-7.49%
$3.46
RIG
-21.14%
$2.145
VALE
-6.58%
$9.09
AMD
-8.57%
$85.76
BBD
-4.15%
$2.195
NKE
2.88%
$57.18
GOOGL
-3.40%
$145.6
DNN
-4.62%
$1.24
T
-6.82%
$26.65
BTE
-18.75%
$1.625
WBD
-11.90%
$8.07
BABA
-9.90%
$116.52
SGMO
5.50%
$0.6565
LYT
-16.78%
$0.0982
SMCI
-7.74%
$29.82
PBR
-6.21%
$13.14
C
-8.10%
$57.94
JBLU
-5.52%
$3.94
PLUG
0.83%
$1.22
ET
-8.80%
$16.17
MU
-12.94%
$64.72
AGNC
-3.85%
$8.98
SLB
-11.30%
$34.78
ABEV
-4.75%
$2.305
SNAP
0.25%
$8.04
AMCR
-3.71%
$9.215
CX
-7.55%
$5.14
BTG
-8.90%
$2.66
OXY
-7.65%
$40.54
MARA
0.62%
$11.3
AVGO
-10.51%
$154.01
FCX
-13.01%
$29.15
CSCO
-4.83%
$54.54
VZ
-5.68%
$43.03
STSS
-7.55%
$0.0257
CCL
-4.57%
$16.49
GOOG
-3.20%
$147.74
META
-5.06%
$504.73
NKLA
-28.74%
$0.183
MRVL
-11.16%
$49.43
KGC
-7.13%
$11.785
WMT
-4.77%
$83.1
RGTI
-7.98%
$7.5
TSM
-6.72%
$146.8
CLF
-5.37%
$6.8705
RIVN
-2.78%
$11.21
LYG
-7.60%
$3.391
QBTS
-11.73%
$6.32
ACHR
-10.81%
$6.19
VFC
-1.07%
$11.555
IQ
-4.57%
$2.09
VRN
-6.14%
$6.27
HPE
-6.54%
$12.785
STLA
-4.85%
$9.715
SOUN
-11.81%
$7.32
APLD
-13.26%
$4.9095
WFC
-7.22%
$60.93
DGLY
-2.78%
$0.035
MSFT
-2.36%
$373.11
UBER
-7.00%
$64.9605
UAA
-1.96%
$5.255
ME
-21.26%
$0.6063
SHOP
-6.56%
$76.89
CUTR
-10.19%
$0.0969
KMI
-8.73%
$25.3
HBAN
-6.39%
$12.6
ERIC
-6.82%
$6.97
RXRX
-11.85%
$4.24
HIMS
-7.18%
$25.98
BON
-3.63%
$0.061
VRT
-11.95%
$59.41
JPM
-8.02%
$210.34
AG
-13.51%
$5.57
CSX
-2.79%
$27.21
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