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The latest financial statement is for the year ending 2025-12-31.

Cash Flow Overview

Free Cash flow
-$3,071M
Unit: Million (M) dollars
Positive Cash Flow Breakdown
    • Proceeds from issuance of long-t...
    • Borrowings under credit faciliti...
    • Depreciation, amortization, and ...
    • Others
Negative Cash Flow Breakdown
    • Capital expenditures
    • Repayments of long-term debt
    • Purchases of nuclear decommissio...
    • Others

Cash Flow
2025-12-31
2024-12-31
2023-12-31
2022-12-31
Net income
2,703 2,512 --
Depreciation, amortization, and decommissioning
4,634 4,189 --
Bad debt expense
402 341 --
Allowance for equity funds used during construction
219 184 --
Deferred income taxes and tax credits, net
1,058 1,098 --
Wildfire fund expense
352 383 --
Disallowed capital expenditures
-0 --
Other
-75 310 --
Accounts receivable
61 1,061 --
Wildfire-related insurance receivable
167 -318 --
Inventories
0 -45 --
Accounts payable
176 30 --
Wildfire-related claims
-392 -506 --
Other current assets and liabilities
-563 231 --
Regulatory assets, liabilities, and balancing accounts, net
-173 -1,545 --
Contributions to wildfire fund
193 193 --
Other noncurrent assets and liabilities
238 561 --
Net cash provided by operating activities-Pacific Gas Electric Co
--5,097 3,831
Net cash provided by operating activities
8,716 8,035 4,747 -
Capital expenditures
--9,714 9,584
Capital expenditures
--9,714 -
Proceeds from sale of sfgo
--0 0
Proceeds from sales and maturities of nuclear decommissioning trust investments
--2,235 3,316
Proceeds from sales and maturities of nuclear decommissioning trust investments
--2,235 -
Purchases of nuclear decommissioning trust investments
--2,252 3,208
Purchases of nuclear decommissioning trust investments
--2,252 -
Capital expenditures
11,787 10,369 --
Proceeds from sales and maturities of customer credit trust investments
--556 250
Proceeds from sales and maturities of customer credit trust investments
--556 -
Proceeds from sales and maturities of nuclear decommissioning trust investments
1,952 1,980 --
Purchases of customer credit trust investments
--0 1,022
Purchases of nuclear decommissioning trust investments
1,993 2,002 --
Proceeds from (repayments of) intercompany note to pg&e corporation
--0 145
Proceeds from sales and maturities of customer credit trust investments
435 398 --
Other
---13 -34
Other
---13 -
Purchases of customer credit investments
742 519 --
Net cash used in investing activities-Pacific Gas Electric Co
---9,162 -10,069
Proceeds from self-insurance investments
1,181 ---
Proceeds from debtor-in-possession credit facility
---0
Purchases of self-insurance investments
1,384 898 --
Repayments of debtor-in-possession credit facility
---0
Other
-22 -35 --
Debtor-in-possession credit facility debt issuance costs
---0
Net cash used in investing activities
-12,316 -11,375 -9,162 -
Bridge facility financing fees
---0
Borrowings under credit facilities
4,790 6,873 -10,130
Repayments under credit facilities
1,465 10,122 -9,750
Borrowings under term loan credit facilities
-0 --
Borrowings under term loan
575 ---
Credit facilities financing fees
---0
Repayments under term loan
0 2,600 --
Short-term debt financing, net of issuance costs of 0, 1, and 2 at respective dates
---0
Short-term debt financing, net of issuance costs of 0, 1, and 0 at respective dates
0 999 --
Short-term debt matured
1,000 0 -300
Proceeds from issuance of long-term debt, net of premium, discount and issuance costs of 29, 33, and 88 at respective dates
---4,271
Proceeds from issuance of long-term debt, net of premium, discount and issuance costs of 38, 5, and 67 at respective dates
4,962 4,495 --
Repayments of long-term debt
3,876 800 -5,941
Proceeds from issuance of recovery bonds-SB901Securitization
---7,464
Proceeds from issuance of recovery bonds, net of financing fees at respective dates-AB1054Wildfire Fund
-1,409 --
Proceeds from issuance of ab 1054 recovery bonds, net of financing fees of 0, 10 and 0 at respective dates
0 ---
Repayments of recovery bonds-SB901Securitization
---33
Proceeds from issuance of recovery bonds, net of financing fees at respective dates-SB901Securitization
-0 --
Repayments of recovery bonds-AB1054Wildfire Fund
88 46 --
Proceeds from issuance of recovery bonds-Series2022ARecovery Bonds
---972
Repayments of recovery bonds-SB901Securitization
135 129 --
Repayments of recovery bonds-Series2022ARecovery Bonds
---18
Proceeds from dwr loan
0 980 --
Proceeds from dwr loan, net of performance based incentives earned of 38, 0, and 0 at respective dates
---312
Proceeds from issuance of convertible notes, net of discount and issuance costs of 0, 0, and 27 at respective dates
0 0 --
Proceeds from sale of future revenue from transmission tower license sales, net of fees
---0
Mandatory convertible preferred stock issued
-1,579 --
Exchanged debt financing fees
---0
Common stock issued
0 1,128 --
Preferred stock dividends paid
---70
Mandatory convertible preferred stock issued-Series APreferred Stock
0 ---
Common stock dividends paid
---1,275
Mandatory convertible preferred stock dividends paid-Common Stock
220 ---
Equity contribution from pg&e corporation
---994
Common stock dividends paid
-86 --
Preferred stock dividends paid
97 ---
Other
-87 -59 -123
Net cash provided by financing activities-Pacific Gas Electric Co
--3,979 6,879
Net cash provided by financing activities
3,359 3,621 4,400 -
Net change in cash, cash equivalents, and restricted cash
---641
Net change in cash, cash equivalents, restricted cash, and restricted cash equivalents
-241 281 -15 -
Cash and cash equivalents at beginning of period
1,213 932 947 181
Cash and cash equivalents at end of period
972 1,213 932 822
Unit: Million (M) dollars (except for numbers of shares and EPS).

Time Plot

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

Cash Flow

Depreciation, amortization,and...$4,634M (10.62%↑ Y/Y)Net income$2,703M (7.60%↑ Y/Y)Deferred income taxes andtax credits, net$1,058M (-3.64%↓ Y/Y)Other current assetsand liabilities-$563M (-343.72%↓ Y/Y)Proceeds from issuance oflong-term debt, net of...$4,962M (10.39%↑ Y/Y)Bad debt expense$402M (17.89%↑ Y/Y)Wildfire fund expense$352M (-8.09%↓ Y/Y)Accounts payable$176M (486.67%↑ Y/Y)Regulatory assets,liabilities, and balancing...-$173M (88.80%↑ Y/Y)Borrowings under creditfacilities$4,790M (-30.31%↓ Y/Y)Borrowings under term loan$575M Net cash provided byoperating activities$8,716M (8.48%↑ Y/Y)Net cash provided byfinancing activities$3,359M (-7.24%↓ Y/Y)Canceled cashflow$1,345M Canceled cashflow$6,968M Net change in cash,cash equivalents,...-$241M (-185.77%↓ Y/Y)Canceled cashflow$12,075M Proceeds from sales andmaturities of nuclear...$1,952M (-1.41%↓ Y/Y)Proceeds fromself-insurance investments$1,181M Proceeds from sales andmaturities of customer...$435M (9.30%↑ Y/Y)Other-$22M (37.14%↑ Y/Y)Wildfire-related claims-$392M (22.53%↑ Y/Y)Other noncurrentassets and liabilities$238M (-57.58%↓ Y/Y)Allowance for equity fundsused during...$219M (19.02%↑ Y/Y)Contributions to wildfire fund$193M (0.00%↑ Y/Y)Wildfire-related insurancereceivable$167M (152.52%↑ Y/Y)Other-$75M (-124.19%↓ Y/Y)Accounts receivable$61M (-94.25%↓ Y/Y)Repayments of long-termdebt$3,876M (384.50%↑ Y/Y)Repayments under creditfacilities$1,465M (-85.53%↓ Y/Y)Short-term debt matured$1,000M Mandatory convertiblepreferred stock dividends...$220M Repayments of recoverybonds-SB901Securitization$135M (4.65%↑ Y/Y)Preferred stock dividendspaid$97M Repayments of recoverybonds-AB1054Wildfire Fund$88M (91.30%↑ Y/Y)Other-$87M (-47.46%↓ Y/Y)Net cash used ininvesting activities-$12,316M (-8.27%↓ Y/Y)Canceled cashflow$3,590M Capital expenditures$11,787M (13.68%↑ Y/Y)Purchases of nucleardecommissioning trust...$1,993M (-0.45%↓ Y/Y)Purchases ofself-insurance investments$1,384M (54.12%↑ Y/Y)Purchases of customercredit investments$742M (42.97%↑ Y/Y)

PG&E Corp (PCG-PC)

PG&E Corp (PCG-PC)