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CONSOLIDATED STATEMENT OF CASH FLOWS (UNAUDITED) - USD ($)
$ in Millions
9 Months Ended
Sep. 30, 2023
Sep. 30, 2022
OPERATING ACTIVITIES    
Net income $ 2,182 $ 1,427
PRINCIPAL NON-CASH CHARGES/(CREDITS) TO INCOME    
Depreciation and amortization 1,506 1,593
Deferred income taxes 99 317
Rate case amortization and accruals 67 55
Net derivative gains 11 (161)
Pre-tax gain on sale of the Clean Energy Businesses (866) 0
Other non-cash items, net (87) 180
CHANGES IN ASSETS AND LIABILITIES    
Accounts receivable – customers 179 (140)
Allowance for uncollectible accounts – customers (46) (12)
Materials and supplies, including fuel oil and gas in storage 53 (96)
Revenue decoupling mechanism receivable (130) 23
Other receivables and other current assets 144 (120)
Unbilled revenue and net unbilled revenue deferrals 78 (40)
Prepayments (841) (588)
Accounts payable (573) 61
Pensions and retiree benefits obligations, net (161) 105
Pensions and retiree benefits contributions (30) (34)
Accrued taxes (1) (10)
Accrued interest 108 126
Distributions from equity investments 23 14
Deferred charges, noncurrent assets, leases, net and other regulatory assets (613) (550)
Deferred credits, noncurrent liabilities and other regulatory liabilities (31) 468
Other current liabilities 110 0
NET CASH FLOWS FROM OPERATING ACTIVITIES 1,181 2,618 Close
INVESTING ACTIVITIES    
Utility construction expenditures (3,097) (2,844)
Cost of removal less salvage (289) (247)
Non-utility construction expenditures (141) (210)
Investments in electric and gas transmission projects (48) (48)
Proceeds from sale of the Clean Energy Businesses, net of cash and cash equivalents sold 3,927 0
Other investing activities 0 3
NET CASH FLOWS FROM (USED IN) INVESTING ACTIVITIES 352 (3,346) Close
FINANCING ACTIVITIES    
Net issuance (retirement) of short-term debt (1,160) 1,003
Issuance of long-term debt 500 0
Retirement of long-term debt (60) (383)
Debt issuance costs (5) 0
Common stock dividends (829) (812)
Issuance of common shares for stock plans 41 43
Repurchase of common shares (1,000) 0
Distribution to noncontrolling interest (4) (28)
NET CASH FLOWS USED IN FINANCING ACTIVITIES (2,517) (177) Close
CASH, TEMPORARY CASH INVESTMENTS, AND RESTRICTED CASH:    
NET CHANGE FOR THE PERIOD (984) (905)
BALANCE AT BEGINNING OF PERIOD 1,530 1,146
BALANCE AT END OF PERIOD 546 241
Total cash, temporary cash investments and restricted cash 546 241
LESS: CASH BALANCES HELD FOR SALE 6 0
BALANCE AT END OF PERIOD EXCLUDING HELD FOR SALE 540 241
Cash paid/(received) during the period for:    
Interest 624 583
Income taxes 360 30
SUPPLEMENTAL DISCLOSURE OF NON-CASH INFORMATION    
Construction expenditures in accounts payable 419 486
Issuance of common shares for dividend reinvestment 20 28
Software Licenses    
SUPPLEMENTAL DISCLOSURE OF NON-CASH INFORMATION    
Capital expenditures incurred but unpaid as of end of period 0 2
Equipment    
SUPPLEMENTAL DISCLOSURE OF NON-CASH INFORMATION    
Capital expenditures incurred but unpaid as of end of period $ 11 $ 17