Plains All American Key Fundamental And Technical Indicators

PAA Stock  USD 21.72  -0.37  -1.67%   
Plains All's ratio profile is presented alongside typical sector benchmarks. At a P/E of 15.06 and a 3.24% profit margin, Plains All sits in this range among its peers. The company earns 10.59% on shareholder equity, with a current ratio of 0.97. As of today, the price momentum oscillator for Plains All stands at 54, indicating neutral momentum. Values near 50 generally reflect equilibrium between upward and downward pressure.
Momentum
OversoldOverbought
54 · Neutral
As of the 9th of May, Plains All trades at 21.72 per share. Key technical indicators include Coefficient Of Variation of 743.89, risk adjusted performance of 0.1323, and Semi Deviation of 1.23. The technical model evaluates historical price movement, trading volume, and volatility patterns to quantify trend strength. Current values are evaluated relative to sector peers and historical ranges.
Plains All's financial statements offer valuable quarterly and annual insights to potential investors. Valuation, profitability, and current liquidity needs are evaluated through these accounts.
 Gross Profit
2.68 billion
 Profit Margin
3.4%
 Market Capitalization
15.32 billion
 Enterprise Value Revenue
0.61
 Revenue
44.26 billion
We have found one hundred twenty available fundamental trend indicators for Plains All American, which can be analyzed and compared to other ratios and to its competition. Make sure to check all of Plains All's current market performance against the performance between 2010 and 2026 to make sure the company can sustain itself for the next two years. Using the latest reported data from December 31, 2025, Market Cap is broadly unchanged at $10.79 billion. For wider market screening beyond Plains All, explore the Equity Screeners module. Available filters include financial, valuation, and market-based dimensions.

Balance Sheet Accounts

Current ValueLast YearHistorical Average 10 Year Trend
Total Assets$16.63 billion$30.17 billion22.7 B
Moderate Growth
Short and Long Term Debt Total$6.28 billion$11.3 billion8.5 B
High Variability
Other Current Liabilities$347.48 million$362 million455 M
Moderate Growth
Total Current Liabilities$3.65 billion$4.93 billion4.5 B
High Variability
Total Stockholder Equity$6.46 billion$9.84 billionB
Moderate Growth
Property Plant And Equipment Net$9.15 billion$17.06 billion12.7 B
Moderate Growth
Net Debt$5.61 billion$6.57 billion7.5 B
High Variability
Accounts Payable$2.57 billion$4.37 billion3.2 B
High Variability
Cash$4.97 billion$4.73 billion711.1 M
Moderate Growth
Non Current Assets Total$13.16 billion$25.44 billion18.5 B
Moderate Growth
Non Current Assets Other$3.97 billion$3.78 billion1.9 B
Moderate Growth
Cash And Short Term Investments$4.97 billion$4.73 billion711.1 M
Moderate Growth
Net Receivables$2.41 billion$3.93 billionB
High Variability
Common Stock Shares Outstanding407.06 million704 million543.2 M
Moderate Growth
Liabilities And Stockholders Equity$16.64 billion$30.17 billion22.7 B
Moderate Growth
Non Current Liabilities Total$6.11 billion$12.16 billion8.5 B
High Variability
Inventory$200.45 million$211 million702.1 M
High Variability
Total Liabilities$9.76 billion$17.09 billion13 B
High Variability
Total Current Assets$3.48 billion$4.73 billion4.2 B
High Variability
Short Term Debt$191.9 million$202 million730.5 M
High Variability
Other Liabilities$1.08 billion$1.03 billion700.5 M
Consistent Growth
Other Assets$987.44 million$1.64 billion1.3 B
High Variability
Long Term Debt$6.16 billion$10.7 billion7.7 B
High Variability
Property Plant Equipment$310.27 million$326.6 million8.6 B
High Variability
Intangible Assets$1.23 billion$1.75 billion1.1 B
Moderate Growth
Net Tangible Assets$7.61 billion$12.86 billionB
Consistent Growth
Long Term Debt Total$8.5 billion$8.38 billion7.9 B
Moderate Variation
Long Term Investments$2.31 billion$2.85 billion2.2 B
Moderate Growth
Property, Plant and Equipment (Gross)$16.65 billion$22.73 billion15.7 B
Moderate Growth
Non Current Liabilities Other$799.76 million$654 million757.4 M
Moderate Growth
Short and Long Term Debt$533.53 million$563 million513.2 M
High Variability
Net Invested Capital$15.73 billion$21.09 billion19.9 B
Moderate Decline
Capital Lease Obligations$244.57 million$202 million345.2 M
Consistent Decline

Income Statement

Current ValueLast YearHistorical Average 10 Year Trend
Depreciation And Amortization$1 billion$953 million622.9 M
Consistent Growth
Total Revenue$29.22 billion$44.26 billion34.8 B
High Variability
Gross Profit$1.34 billion$2.67 billion1.8 B
High Variability
Other Operating Expenses$28.4 billion$42.83 billion33.7 B
High Variability
Cost Of Revenue$27.88 billion$41.59 billion33 B
High Variability
Total Operating Expenses$1.3 billion$1.24 billion727.2 M
High Variability
Selling General Administrative$247.3 million$342 million293.9 M
High Variability
Selling And Marketing Expenses$36.8 million$41.4 million45.2 M
Stable
Interest Income$123.6 million$108 million158 M
Moderate Decline
Reconciled Depreciation$873.64 million$953 million729.6 M
Moderate Growth

Cash Flow Statement Items

Current ValueLast YearHistorical Average 10 Year Trend
Begin Period Cash Flow$365.4 million$348 million168.6 M
Moderate Growth
Depreciation$1 billion$957 million623.5 M
Consistent Growth
Capital Expenditures$721.45 million$643 million984.1 M
High Variability
End Period Cash Flow$344.4 million$328 million184.6 M
Moderate Growth
Dividends Paid$707.54 million$1.29 billion911.8 M
High Variability
Stock Based Compensation$47.66 million$49 million58.2 M
Moderate Decline

Financial Ratios

Current ValueLast YearHistorical Average 10 Year Trend
Price To Sales Ratio0.43x0.29x0.3915
Moderate Decline
Dividend Yield6.62%10.24%0.087
High Variability
PTB Ratio1.221.297.2409
High Variability
Days Sales Outstanding41.6632.3834.2249
Moderate Variation
Book Value Per Share11.1918.5817.0166
High Variability
Stock Based Compensation To Revenue0x0x0.0017
Moderate Decline
Capex To Depreciation$0.64$0.671.9817
Moderate Decline
PB Ratio1.22x1.29x7.2409
High Variability
EV To Sales0.67x0.43x0.6451
High Variability
Inventory Turnover104.0999.1354.0583
Moderate Growth
Days Of Inventory On Hand3.623.819.0635
Moderate Decline
Payables Turnover13.289.5210.2883
Moderate Variation
Sales General And Administrative To Revenue0.01x0.01x0.0086
High Variability
Capex To Revenue0.02x0.01x0.0304
High Variability
Cash Per Share7.066.721.0528
Moderate Growth
Days Payables Outstanding46.7138.3338.0586
Moderate Variation
Intangibles To Total Assets$0.11$0.060.1028
Moderate Decline
Current Ratio1.070.960.9483
Stable
Tangible Book Value Per Share8.6216.0912.8528
High Variability
Receivables Turnover15.411.2711.5462
Moderate Variation
Graham Number$18.06$25.3126.1476
High Variability
Shareholders Equity Per Share10.3813.9715.3701
High Variability
Debt To Equity1.31x1.15x1.1647
High Variability
Capex Per Share1.410.912.077
High Variability
Revenue Per Share93.9762.8769.6916
High Variability
Interest-Bearing Debt Per Share11.8216.8416.8852
High Variability
Debt To Assets0.3x0.37x0.3609
Moderate Variation
Operating Cycle$55.67$32.3843.6754
Moderate Variation
Price Book Value Ratio1.22x1.29x7.2409
High Variability
Days Of Payables Outstanding46.7138.3338.0586
Moderate Variation
Ebt Per Ebit$0.93$0.980.9079
Moderate Growth
Effective Tax Rate$0.01$0.010.0822
High Variability
Company Equity Multiplier4.13x3.07x4.0984
High Variability
Long Term Debt To Capitalization0.53x0.53x0.4723
Moderate Variation
Total Debt To Capitalization0.58x0.53x0.5215
Moderate Variation
Debt-to-Equity Ratio1.311.151.1647
High Variability
Quick Ratio0.610.960.7671
Moderate Variation
Net Income Per EBT$0.97$1.020.8756
Moderate Variation
Cash Ratio1.010.960.1431
Moderate Growth
Days Of Inventory Outstanding3.623.819.0635
Moderate Decline
Days Of Sales Outstanding41.6632.3834.2249
Moderate Variation
Price To Book Ratio1.22x1.29x7.2409
High Variability
Fixed Asset Turnover2.472.593.9851
High Variability
Debt Ratio0.30.370.3609
Moderate Variation
Price Sales Ratio0.43x0.29x0.3915
Moderate Decline
Asset Turnover1.391.471.7451
High Variability
Gross Profit Margin3.33%6.04%0.0499
High Variability
Price Fair Value1.22x1.29x7.2409
High Variability

Valuation Indicators

Current ValueLast YearHistorical Average 10 Year Trend
Market Cap$6.46 billion$10.79 billion11.1 B
Moderate Variation

Core Fundamental Drivers

Forward Price Earnings12.3153
Cash And Short Term Investments4.73 billion

Return On Equity TTM Driver Correlations

The correlation matrix maps how Return On Equity TTM co-moves with Plains All's other financial accounts across reporting periods. Positive correlations suggest shared drivers; negative correlations may reflect natural offsets within Plains All's financial structure.
Competition

Plains All Accumulated Other Comprehensive Income

Accumulated Other Comprehensive Income

$-3.07 billion
Accumulated Other Comprehensive Income stood at $-3.23 billion as of December 31, 2025.

Plains All American Fundamental Drivers Relationships

ROE stood at 0.11 as of December 31, 2025. Related reported metric: Return On Asset TTM at 2.78% as of December 31, 2025.

Main Technical Indicators as of May 9, 2026

Daily Market Strength Indicators

Market strength indicators for Plains All stock provide a framework for assessing security responsiveness. A rising Accumulation/Distribution line alongside rising price confirms institutional buying interest in Plains All.

Basic Forecasting Models

Plains All's daily price returns decompose into trend, seasonal, and residual components. Divergence between short-term and long-term averages in Plains All often signals an upcoming reversal or acceleration.

Plains All Related Equities

These stocks within the Energy space are often compared to Plains All by analysts and fund managers in the sector. Key comparison metrics include price-to-earnings, profit margin, and revenue growth across Plains All's peer group. Persistent outperformance or underperformance by specific peers relative to Plains All often signals structural advantages or weaknesses.
 Risk & Return  Correlation

Return On Equity TTM Peer Comparison

Peer comparison on Return On Equity TTM is one of the most widely used methods for evaluating Plains All relative to competitors. Comparing Plains All's Return On Equity TTM against peers surfaces securities trading below their model-implied intrinsic value estimate in the group.
Plains All is currently under evaluation in return on equity ttm among leading competitors.

Important Fundamentals

Financial Metrics, Fundamentals & Methodology

The financial architecture of Plains All shows how effectively the business turns scale into retained value. Profitability indicators are currently positive. Overall market capitalization tier is large-cap. As of the latest reporting period, Plains All reports revenue of 44.26 billion, positive EPS of 0.92, operating margin of 3.46%.

Plains All American metrics draw on periodic company reporting and market reference feeds, standardized for cross-period comparison. Analyst projections are included when active coverage applies. Reported income, balance-sheet, and cash-flow fields adhere to GAAP or IFRS presentation rules.

Editorial review and methodology oversight provided by: Ellen Johnson, Member of Macroaxis Editorial Board