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CONNECTICUT LIGHT & POWER CO (CNLHP)

CONNECTICUT LIGHT & POWER CO (CNLHP)

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Cash Flow Overview

Change in Cash
$1,556,260K
Free Cash flow
$76,296K
Unit: Thousand (K) dollars
Positive Cash Flow Breakdown
    • Proceeds from sale of aquarion
    • Issuance of long-term debt
    • Depreciation
    • Others
Negative Cash Flow Breakdown
    • Retirement of long-term debt
    • Investments in property, plant a...
    • Cash dividends on common shares
    • Others
Cash Flow
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Net income
55,560
608,721
423,186
1,276,705
Depreciation
423,915
420,481
408,015
1,160,563
Deferred income taxes
-2,929
81,402
11,695
15,618
Uncollectible expense
19,790
30,795
41,527
59,614
Pension, serp and pbop income, net
-25,966
-28,287
-20,628
-60,000
Pension contributions
-
-
-
2,500
Regulatory over recoveries, net
-83,845
-126,339
201,552
-214,614
Amortization
44,323
-402,764
-163,111
-672,798
Cost of removal expenditures
60,639
41,385
74,241
201,665
Sale of aquarion
-111,360
-
0
-
Loss on offshore wind
194,000
-
0
284,000
Other
-152,105
-28,255
95,435
-90,609
Receivables and unbilled revenues, net
-336,078
264,738
389,692
-25,536
Taxes receivable/accrued, net
124,832
-247,015
-50,351
-92,980
Accounts payable
-78,867
-145,387
287,460
-203,268
Other current assets and liabilities, net
-51,360
141,649
-309,760
228,089
Net cash flows provided by operating activities
1,090,457
1,324,326
916,057
3,197,515
Investments in property, plant and equipment
1,014,161
1,009,311
983,311
3,175,358
Proceeds from sales of marketable securities
85,136
40,954
183,061
256,250
Purchases of marketable securities
84,300
37,075
173,552
242,530
Payments for offshore wind contingent liability
83,000
150,001
59,500
141,342
Investments in unconsolidated affiliates
-
0
113
588
Proceeds from sales of offshore wind investments
-
-
0
0
Proceeds from sale of aquarion
2,334,136
-
-
-
Other investing activities
-17,600
-5,490
-20,035
-10,785
Net cash flows used in investing activities
1,255,411
-1,149,943
-1,013,380
-3,292,783
Issuance of common shares, net of issuance costs
20,205
-
-9
465,398
Cash dividends on common shares
290,258
290,023
276,645
816,429
Cash dividends on preferred stock
1,879
1,880
1,880
5,639
Decrease in notes payable
-38,000
-992,445
7,945
-525,293
Repayment of rate reduction bonds
0
21,605
0
43,210
Issuance of long-term debt
902,320
1,502,574
902,071
2,040,282
Retirement of long-term debt
1,366,687
250,116
650,106
750,225
Other financing activities
-15,309
-29,342
-4,536
-30,196
Net cash flows (used in)/provided by financing activities
-789,608
-82,837
-23,160
334,688
Net (decrease)/increase in cash and restricted cash
1,556,260
91,546
-120,483
239,420
Cash, cash equivalents and restricted cash - beginning of period
337,791
246,245
366,728
127,308
Cash, cash equivalents and restricted cash - end of period
1,894,051
337,791
246,245
366,728
Unit: Thousand (K) dollars (except for numbers of shares and EPS). Numbers labeled with * are estimated quarterly values.

Time Plot

Show the time plot by selecting a row from the table.

Cash Flow

Proceeds from sale ofaquarion$2,334,136K Depreciation$423,915K Receivables and unbilledrevenues, net-$336,078K Loss on offshore wind$194,000K Other-$152,105K Proceeds from sales ofmarketable securities$85,136K Other investingactivities-$17,600K Sale of aquarion-$111,360K Regulatory overrecoveries, net-$83,845K Net income$55,560K Other current assetsand liabilities,...-$51,360K Uncollectible expense$19,790K Net cash flows usedin investing...$1,255,411K Net cash flowsprovided by operating...$1,090,457K Canceled cashflow$1,181,461K Canceled cashflow$337,556K Net(decrease)/increase in cash and...$1,556,260K Canceled cashflow$789,608K Investments in property,plant and equipment$1,014,161K Purchases of marketablesecurities$84,300K Payments for offshorewind contingent...$83,000K Taxesreceivable/accrued, net$124,832K Accounts payable-$78,867K Cost of removalexpenditures$60,639K Amortization$44,323K Pension, serp and pbopincome, net-$25,966K Deferred income taxes-$2,929K Issuance of long-termdebt$902,320K Issuance of commonshares, net of issuance...$20,205K Net cash flows (usedin)/provided by financing...-$789,608K Canceled cashflow$922,525K Retirement of long-termdebt$1,366,687K Cash dividends oncommon shares$290,258K Decrease in notes payable-$38,000K Other financingactivities-$15,309K Cash dividends onpreferred stock$1,879K