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Cash Flow Overview

Change in Cash
-$531M
Unit: Million (M) dollars
Positive Cash Flow Breakdown
    • Issuances of long-term debt, inc...
    • Proceeds from sale or maturity o...
    • Depreciation and amortization
    • Others
Negative Cash Flow Breakdown
    • Independent power and other inve...
    • Net change in commercial paper
    • Retirements of long-term debt
    • Others

Cash Flow
2026-03-31
2025-12-31
2025-09-30
2025-06-30
Depreciation and amortization
1,371 NaN NaN NaN
Nuclear fuel and other amortization
91 NaN NaN NaN
Unrealized losses on marked to market derivative contracts net
-16 NaN NaN NaN
Foreign currency transaction losses (gains)
138 NaN NaN NaN
Deferred income taxes
409 NaN NaN NaN
Cost recovery clauses and franchise fees
201 NaN NaN NaN
Distributions of earnings from equity method investees
100 NaN NaN NaN
Gains on disposal of businesses, assets and investments net
257 NaN NaN NaN
Recoverable storm-related costs
16 NaN NaN NaN
Other net
312 NaN NaN NaN
Net income (loss)
1,688 NaN NaN NaN
Current assets
368 NaN NaN NaN
Noncurrent assets
114 NaN NaN NaN
Current liabilities
-288 NaN NaN NaN
Noncurrent liabilities
180 NaN NaN NaN
Net income (loss)
1,462 NaN NaN NaN
Depreciation and amortization
665 NaN NaN NaN
Nuclear fuel and other amortization
42 NaN NaN NaN
Deferred income taxes
-29 NaN NaN NaN
Cost recovery clauses and franchise fees
201 NaN NaN NaN
Recoverable storm-related costs
16 NaN NaN NaN
Other net
15 NaN NaN NaN
Current assets
-44 NaN NaN NaN
Noncurrent assets
44 NaN NaN NaN
Current liabilities
181 NaN NaN NaN
Noncurrent liabilities
1 NaN NaN NaN
Equity in losses (earnings) of equity method investees
171 NaN NaN NaN
Net cash provided by operating activities
2,614 2,499 4,028 3,189
Capital expenditures of fpl
3,046 1,983 2,451 1,944
Independent power and other investments of neer
7,868 3,056 3,220 3,615
Nuclear fuel purchases
144 242 32 126
Other capital expenditures
NaN 2 NaN NaN
Proceeds from the sale of florida city gas business
NaN 0 NaN NaN
Other capital expenditures
-63 NaN 36 31
Sale of independent power and other investments of neer
340 116 690 71
Proceeds from sale or maturity of securities in special use funds
1,506 1,204 1,387 1,553
Purchases of securities in special use funds
1,650 1,323 1,510 1,768
Other net
-45 -69 -27 -7
Capital expenditures
-3,690 NaN 6,736 NaN
Nuclear fuel purchases
-7 NaN 123 NaN
Proceeds from sale or maturity of securities in special use funds
-1,545 NaN 2,459 NaN
Purchases of securities in special use funds
-1,606 NaN 2,586 NaN
Other net
-51 NaN -23 NaN
Net cash used in investing activities
-10,821 -5,212 -5,108 -5,821
Issuances of long-term debt, including premiums and discounts
8,307 8,148 2,250 3,156
Retirements of long-term debt
3,100 2,801 2,386 2,308
Proceeds from differential membership investors
NaN 2,211 1,065 NaN
Payments to differential membership investors
NaN -682 166 NaN
Net change in commercial paper
3,405 -2,307 235 2,022
Proceeds from other short-term debt
650 608 550 550
Repayments of other short-term debt
NaN 1,100 217 0
Cash repayments to related parties net
-2 -3 1 -84
Issuances of common stock/equity units
23 10 2,006 11
Dividends on common stock
1,300 1,181 1,167 1,166
Other net
-304 -232 -355 -124
Issuances of long-term debt, including premiums and discounts-Florida Power Light Company
NaN NaN 1,996 NaN
Retirements of long-term debt
-1,078 NaN 1,220 NaN
Net change in commercial paper
1,830 NaN -521 NaN
Repayments of other short-term debt-Florida Power Light Company
NaN NaN 0 NaN
Capital contributions from nee-Florida Power Light Company
NaN NaN 0 NaN
Dividends on common stock
0 NaN 100 NaN
Other net
32 NaN -37 NaN
Net cash provided by financing activities
7,679 3,003 1,816 2,057
Effects of currency translation on cash, cash equivalents and restricted cash
-3 2 -4 7
Depreciation and amortization
1,371 3,712 NaN 1,773
Nuclear fuel and other amortization
91 196 NaN 84
Unrealized losses on marked to market derivative contracts net
-16 804 NaN -39
Unrealized losses (gains) on equity securities held in neer's nuclear decommissioning funds net
NaN 107 NaN NaN
Foreign currency transaction losses (gains)
138 -54 NaN -48
Deferred income taxes
409 965 NaN -112
Cost recovery clauses and franchise fees
201 -70 NaN 26
Distributions of earnings from equity method investees
100 265 NaN 58
Gains on disposal of businesses, assets and investments net
257 284 NaN 121
Recoverable storm-related costs
16 114 NaN 169
Other net
312 58 NaN 108
Net income (loss)
1,688 3,228 NaN 1,640
Current assets
368 419 NaN 723
Noncurrent assets
114 257 NaN 122
Current liabilities
-288 -34 NaN 780
Noncurrent liabilities
180 283 NaN 109
Net income (loss)
1,462 NaN NaN NaN
Depreciation and amortization
665 NaN NaN NaN
Nuclear fuel and other amortization
42 NaN NaN NaN
Deferred income taxes
-29 NaN NaN NaN
Cost recovery clauses and franchise fees
201 NaN NaN NaN
Recoverable storm-related costs
16 NaN NaN NaN
Other net
15 NaN NaN NaN
Current assets
-44 NaN NaN NaN
Noncurrent assets
44 NaN NaN NaN
Current liabilities
181 NaN NaN NaN
Noncurrent liabilities
1 NaN NaN NaN
Equity in losses (earnings) of equity method investees
171 285 NaN 177
Net cash provided by operating activities
-4,715 NaN 6,835 NaN
Capital expenditures
-3,690 NaN 6,736 NaN
Nuclear fuel purchases
-7 NaN 123 NaN
Proceeds from sale or maturity of securities in special use funds
-1,545 NaN 2,459 NaN
Purchases of securities in special use funds
-1,606 NaN 2,586 NaN
Other net
-51 NaN -23 NaN
Net cash used in investing activities
3,809 NaN -6,963 NaN
Issuances of long-term debt, including premiums and discounts
-1,996 NaN 1,996 NaN
Retirements of long-term debt
-1,078 NaN 1,220 NaN
Net change in commercial paper
1,830 NaN -521 NaN
Repayments of other short-term debt
NaN NaN 0 NaN
Capital contributions from nee
NaN NaN 0 NaN
Dividends on common stock
0 NaN 100 NaN
Other net
32 NaN -37 NaN
Net cash provided by financing activities
944 NaN 118 NaN
Net increase (decrease) in cash, cash equivalents and restricted cash
-531 292 732 -568
Cash, cash equivalents and restricted cash at beginning of period
3,006 2,714 1,982 2,550
Cash, cash equivalents and restricted cash at end of period
2,475 3,006 2,714 1,982
Unit: Million (M) dollars (except for numbers of shares and EPS). Numbers labeled with * are estimated quarterly values.

Time Plot

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Cash Flow

No Cash Flow statement diagram available.

NEXTERA ENERGY INC (NEE-PT)

NEXTERA ENERGY INC (NEE-PT)