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NORTHEAST UTILITIES AND SUBSIDIARIES | | | |
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS | | | |
(Unaudited) | | | |
| Six Months Ended June 30, |
(Thousands of Dollars) | 2009 | | 2008 |
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Operating Activities: | | | |
Net income | $ 183,307 | | $ 119,020 |
Adjustments to reconcile to net cash flows | | | |
provided by operating activities: | | | |
Bad debt expense | 17,986 | | 13,163 |
Depreciation | 154,751 | | 136,075 |
Deferred income taxes | 73,202 | | 52,995 |
Pension and PBOP expense/(income), net of capitalized portion, and contributions | 13,052 | | (6,855) |
Allowance for equity funds used during construction | (3,366) | | (15,082) |
Regulatory refunds and underrecoveries | 679 | | (128,830) |
Amortization/(deferral) of recoverable energy costs | 20,053 | | (6,046) |
Amortization of regulatory assets, net | 8,652 | | 70,800 |
Amortization of rate reduction bonds | 107,202 | | 101,234 |
Deferred contractual obligations | (14,784) | | (16,973) |
Derivative assets and liabilities | (19,243) | | (25,216) |
Other | 13,738 | | 3,505 |
Changes in current assets and liabilities: | | | |
Receivables and unbilled revenues, net | 158,175 | | 35,760 |
Investments in securitizable assets | - | | (25,787) |
Fuel, materials and supplies | 35,582 | | (17,946) |
Other current assets | 10,724 | | 6,426 |
Accounts payable | (211,445) | | (20,648) |
Counterparty deposits and margin special deposits | (3,585) | | 59,110 |
Taxes receivable/accrued | (8,244) | | (31,412) |
Other current liabilities | (30,309) | | (21,489) |
Net cash flows provided by operating activities | 506,127 | | 281,804 |
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Investing Activities: | | | |
Investments in property and plant | (418,684) | | (625,133) |
Proceeds from sales of marketable securities | 147,702 | | 128,778 |
Purchases of marketable securities | (149,482) | | (130,105) |
Rate reduction bond escrow and other deposits | (411) | | 9,010 |
Other investing activities | 3,350 | | 2,385 |
Net cash flows used in investing activities | (417,525) | | (615,065) |
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Financing Activities: | | | |
Issuance of common shares | 387,411 | | 4,562 |
Cash dividends on common shares | (78,921) | | (62,574) |
Cash dividends on preferred stock of subsidiary | (2,779) | | (2,779) |
(Decrease)/increase in short-term debt | (124,908) | | 8,000 |
Issuance of long-term debt | 312,000 | | 660,000 |
Retirements of long-term debt | (54,286) | | (154,286) |
Retirements of rate reduction bonds | (120,326) | | (115,177) |
Financing fees | (15,456) | | (6,265) |
Other financing activities | (5) | | (1,196) |
Net cash flows provided by financing activities | 302,730 | | 330,285 |
Net increase/(decrease) in cash and cash equivalents | 391,332 | | (2,976) |
Cash and cash equivalents - beginning of period | 89,816 | | 15,104 |
Cash and cash equivalents - end of period | $ 481,148 | | $ 12,128 |
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The data contained in this report is preliminary and is unaudited. This report is being submitted for the sole purpose of providing information to present shareholders about Northeast Utilities and Subsidiaries and is not a representation, prospectus, or intended for use in connection with any purchase or sale of securities. |
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