The Southern Company

Informe acción NYSE:SO

Capitalización de mercado: US$105.4b

Salud financiera de hoja de balance de Southern

Salud financiera controles de criterios 0/6

Southern tiene un patrimonio de accionistas total de $38.9B y una deuda total de $71.8B, lo que sitúa su ratio deuda-patrimonio en 184.8%. Sus activos y pasivos totales son $155.7B y $116.9B respectivamente. El BAIT de Southern es de $7.9B, por lo que su ratio de cobertura de intereses es de 2.4. Tiene efectivo e inversiones a corto plazo que ascienden a $1.6B.

Información clave

184.79%

Ratio deuda-patrimonio

US$71.82b

Deuda

Ratio de cobertura de intereses2.4x
EfectivoUS$1.64b
PatrimonioUS$38.87b
Total pasivoUS$116.85b
Activos totalesUS$155.72b

Actualizaciones recientes sobre salud financiera

Recent updates

Southern Company: Positive Long-Term Clean Energy Pivot

Apr 29

SO: Fair View Will Reflect Dam Safety Progress And Dividend Support

Analysts now see Southern’s fair value edging to about $101.87 from roughly $101.24, reflecting updated assumptions for revenue growth, profit margins, the discount rate, and future P/E. These changes slightly adjust the risk and return trade off you may want to watch.

SO: Fair View Will Reflect Dam Safety Progress And Stable Future P/E

Analysts have nudged their price target on Southern slightly higher to $101.24. This reflects small refinements to their models around the discount rate, long term revenue growth, profit margin assumptions, and future P/E expectations.

SO: Fair Value View Will Reflect Dam Safety Compliance And Higher Future P/E

Analysts have lifted their price target for Southern by $1, reflecting updated assumptions that include a slightly lower discount rate, modestly higher revenue growth expectations, a small adjustment to profit margin forecasts, and a marginally higher future P/E multiple. What's in the News Southern Company Generation Hydro Services received a compliance letter from the Federal Energy Regulatory Commission Office of Energy Projects Division of Dam Safety and Inspections for the Tallulah Falls Development of the North Georgia Project No. 2354-03, following a March 9, 2026 inspection conducted as part of the 12th Part 12D Independent Consultant’s Safety Inspection Comprehensive Assessment (Key Developments).

SO: Fair Value View Will Reflect Modest Revenue Gains And Higher Future P/E

Analysts have raised their price target on Southern to $100.24 from $98.13, reflecting updated assumptions regarding fair value, discount rate, revenue growth, profit margin and future P/E. Valuation Changes Fair Value: updated slightly higher to $100.24 from $98.13.

SO: Fair Value Outlook Will Balance Higher Profitability And Slightly Lower Future P/E

Analysts have reduced their price target for Southern by about $1, reflecting updated assumptions about fair value, discount rate, revenue growth, profit margin, and future P/E expectations. Valuation Changes Fair Value was reduced slightly from $99.23 to $98.13, reflecting updated model inputs.

SO: Composite Equity Units Offering Will Support Future Shareholder Value Upside

Analysts have modestly lowered their price target on Southern by approximately $0.10 to reflect a slightly higher discount rate and marginally less favorable long term valuation assumptions, while leaving core growth and profitability expectations essentially unchanged. What's in the News Southern has completed a $1.75 billion composite equity units offering, issuing 35 million equity derivative units priced at $50 per unit, with a $0.875 discount per security (Key Developments).

SO: Composite Units Offering Is Expected To Drive Shareholder Value Forward

Narrative Update on Southern Analysts have modestly revised their price target for Southern, lowering it by $1.12 per share. This change reflects updated assessments of discount rates, revenue growth, and margin projections.

SO: Recent Equity Offering and Improved Margins Will Shape Future Performance

Analysts have raised their price target for Southern from $100.08 to $100.45 per share. They cited slight improvements in projected profit margins while also noting a marginal reduction in expected revenue growth.

Analysts Lift Southern Price Target on Higher Revenue Growth Despite Lower Margins

Analysts have raised their price target for Southern from $97.15 to $100.08, citing expectations for stronger revenue growth that modestly outweigh a slight decrease in profit margins. Valuation Changes Fair Value has increased modestly, rising from $97.15 to $100.08.

Southeastern US Electrification And Renewables Will Expand Future Markets

Narrative Update on Southern: Analyst Price Target Revision Analysts have slightly increased their price target for Southern by $0.41 to $97.15. This adjustment reflects modest improvements in expected revenue growth, even though the profit margin forecast is marginally lower.

The Southern Company's (NYSE:SO) Business Is Yet to Catch Up With Its Share Price

Sep 08
The Southern Company's (NYSE:SO) Business Is Yet to Catch Up With Its Share Price

Is Southern (NYSE:SO) A Risky Investment?

Jul 05
Is Southern (NYSE:SO) A Risky Investment?

Southern (NYSE:SO) Ticks All The Boxes When It Comes To Earnings Growth

May 15
Southern (NYSE:SO) Ticks All The Boxes When It Comes To Earnings Growth

Southern Company: Strong 2024 Earnings Reinforce Confidence In The Investment

Feb 21

The Southern Company's Good Fuel Mix

Feb 14

SOJF: A 6.5% Investment Grade Baby Bond IPO From The Southern Company

Jan 22

Southern Company: Solid Commercial Data Center Load Trends, Technical Support (Rating Upgrade)

Jan 15

Southern Company: One Of The Best Utilities At A Lofty Price

Nov 01

Southern Company Could Be Dead Money For The Foreseeable Future

Oct 08

The Southern Company: Time To Lock In Gains

Sep 28

The AI Factor: Southern Company's Pricey Power Play

Aug 19

Why Southern Company Will Beat Guidance

Jul 09

Análisis de la situación financiera

Pasivos a corto plazo: Los activos a corto plazo ($10.9B) de SO no cubren sus pasivos a corto plazo ($16.9B).

Pasivo a largo plazo: Los activos a corto plazo ($10.9B) de SO no cubren sus pasivos a largo plazo ($100.0B).


Historial y análisis de deuda-patrimonio

Nivel de deuda: La relación deuda neta-capital de SO (180.6%) se considera alta.

Reducción de la deuda: El ratio deuda-patrimonio de SO ha crecido de 150.5% a 184.8% en los últimos 5 años.

Cobertura de la deuda: La deuda de SO no está bien cubierta por el flujo de caja operativo (13.6%).

Cobertura de intereses: Los pagos de intereses de la deuda de SO no están bien cubiertos por el BAIT (2.4x cobertura).


Hoja de balance


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Análisis de la empresa y estado de los datos financieros

DatosÚltima actualización (huso horario UTC)
Análisis de la empresa2026/04/30 05:02
Precio de las acciones al final del día2026/04/30 00:00
Beneficios2025/12/31
Ingresos anuales2025/12/31

Fuentes de datos

Los datos utilizados en nuestro análisis de empresas proceden de S&P Global Market Intelligence LLC. Los siguientes datos se utilizan en nuestro modelo de análisis para generar este informe. Los datos están normalizados, lo que puede introducir un retraso desde que la fuente está disponible.

PaqueteDatosMarco temporalEjemplo Fuente EE.UU. *
Finanzas de la empresa10 años
  • Cuenta de resultados
  • Estado de tesorería
  • Balance
Estimaciones del consenso de analistas+3 años
  • Previsiones financieras
  • Objetivos de precios de los analistas
Precios de mercado30 años
  • Precios de las acciones
  • Dividendos, escisiones y acciones
Propiedad10 años
  • Accionistas principales
  • Información privilegiada
Gestión10 años
  • Equipo directivo
  • Consejo de Administración
Principales avances10 años
  • Anuncios de empresas

* Ejemplo para valores de EE.UU., para no EE.UU. se utilizan formularios y fuentes normativas equivalentes.

A menos que se especifique lo contrario, todos los datos financieros se basan en un periodo anual, pero se actualizan trimestralmente. Esto se conoce como datos de los últimos doce meses (TTM) o de los últimos doce meses (LTM). Más información.

Modelo de análisis y copo de nieve

Los detalles del modelo de análisis utilizado para generar este informe están disponibles en nuestra página de Github, también tenemos guías sobre cómo utilizar nuestros informes y tutoriales en Youtube.

Conozca al equipo de talla mundial que diseñó y construyó el modelo de análisis Simply Wall St.

Métricas industriales y sectoriales

Simply Wall St calcula cada 6 horas nuestras métricas sectoriales y de sección. Los detalles de nuestro proceso están disponibles en Github.

Fuentes analistas

The Southern Company está cubierta por 31 analistas. 18 de esos analistas presentaron las estimaciones de ingresos o ganancias utilizadas como datos para nuestro informe. Las estimaciones de los analistas se actualizan a lo largo del día.

AnalistaInstitución
Jacob KilsteinArgus Research Company
Daniel FordBarclays
Nicholas CampanellaBarclays