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Consolidated Edison (ED)

Watchlist
  • 111.890
  • -1.670-1.47%
Close Apr 13 16:00 ET
  • 111.890
  • 0.0000.00%
Post 16:05 ET
41.22BMarket Cap19.84P/E (TTM)

Consolidated Edison (ED) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
23.04%1.63B
23.04%1.63B
94.62%181M
0.40%1.51B
113.02%360M
11.35%1.32B
11.35%1.32B
-82.75%93M
-23.27%1.5B
-78.08%169M
-Cash and cash equivalents
23.04%1.63B
23.04%1.63B
94.62%181M
0.40%1.51B
113.02%360M
11.35%1.32B
11.35%1.32B
-82.75%93M
-23.27%1.5B
-78.08%169M
Receivables
-1.71%3.86B
-1.71%3.86B
-7.03%3.35B
-6.15%3.37B
-3.02%3.85B
3.67%3.93B
3.67%3.93B
8.73%3.6B
22.34%3.59B
26.41%3.97B
-Accounts receivable
5.86%2.58B
5.86%2.58B
-8.57%2.35B
-1.28%2.39B
5.00%2.75B
0.91%2.44B
0.91%2.44B
25.34%2.57B
43.94%2.42B
28.33%2.62B
-Taxes receivable
-92.41%11M
-92.41%11M
--1M
--1M
--119M
14,400.00%145M
14,400.00%145M
----
----
----
-Other receivables
-9.92%445M
-9.92%445M
-16.63%346M
-30.72%336M
-23.83%441M
-23.65%494M
-23.65%494M
-41.71%415M
-34.46%485M
-0.69%579M
Inventory
9.28%530M
9.28%530M
9.32%516M
8.65%490M
5.66%467M
3.41%485M
3.41%485M
3.74%472M
3.92%451M
2.55%442M
Prepaid assets
-14.38%381M
-14.38%381M
-16.48%1.15B
-14.61%374M
-2.35%999M
-5.32%445M
-5.32%445M
23.51%1.37B
34.36%438M
22.81%1.02B
Restricted cash
----
----
--1M
--1M
----
----
----
----
----
--0
Other current assets
-21.19%264M
-21.19%264M
-29.20%257M
-8.91%276M
16.03%362M
-17.49%335M
-17.49%335M
21.40%363M
-6.19%303M
-19.59%312M
Total current assets
1.29%6.75B
1.29%6.75B
-10.20%5.46B
-6.74%6.05B
-0.54%6.13B
1.94%6.66B
1.94%6.66B
2.37%6.08B
4.58%6.49B
5.08%6.17B
Non current assets
Net PPE
6.14%55.89B
6.14%55.89B
5.80%54.86B
5.80%54.1B
5.81%53.3B
5.02%52.66B
5.02%52.66B
5.66%51.86B
5.49%51.14B
5.28%50.38B
-Gross PPE
6.34%72.38B
6.34%72.38B
5.97%71.05B
5.83%70.04B
5.85%68.99B
5.82%68.07B
5.82%68.07B
6.47%67.05B
6.50%66.18B
6.42%65.18B
-Accumulated depreciation
-7.00%-16.49B
-7.00%-16.49B
-6.55%-16.19B
-5.91%-15.94B
-5.97%-15.68B
-8.66%-15.41B
-8.66%-15.41B
-9.37%-15.19B
-10.11%-15.05B
-10.48%-14.8B
Goodwill and other intangible assets
-0.49%406M
-0.49%406M
0.00%408M
0.00%408M
0.00%408M
0.00%408M
0.00%408M
0.00%408M
0.00%408M
0.25%408M
-Goodwill
-0.49%406M
-0.49%406M
0.00%408M
0.00%408M
0.00%408M
0.00%408M
0.00%408M
0.00%408M
0.00%408M
0.25%408M
Investments and advances
7.73%1.21B
7.73%1.21B
8.19%1.23B
9.71%1.19B
9.13%1.14B
12.71%1.13B
12.71%1.13B
21.76%1.14B
14.76%1.08B
15.03%1.04B
Financial assets
366.67%126M
366.67%126M
76.19%37M
123.81%47M
-25.00%36M
-43.75%27M
-43.75%27M
-19.23%21M
-30.00%21M
84.62%48M
Defined pension benefit
11.50%4.23B
11.50%4.23B
13.75%3.91B
14.35%3.83B
14.94%3.76B
15.76%3.79B
15.76%3.79B
1.65%3.44B
1.64%3.35B
1.65%3.27B
Other non current assets
6.85%390M
6.85%390M
-1.81%380M
4.72%355M
4.31%339M
15.51%365M
15.51%365M
28.57%387M
78.42%339M
74.73%325M
Total non current assets
6.19%67.85B
6.19%67.85B
6.10%66.38B
6.54%65.45B
6.68%64.56B
6.86%63.9B
6.86%63.9B
7.01%62.57B
6.71%61.43B
6.28%60.51B
Total assets
5.73%74.6B
5.73%74.6B
4.66%71.84B
5.27%71.5B
6.02%70.69B
6.38%70.56B
6.38%70.56B
6.58%68.65B
6.51%67.92B
6.17%66.68B
Liabilities
Current liabilities
Payables
17.47%2.05B
17.47%2.05B
7.49%1.65B
3.34%1.61B
2.06%1.53B
-5.52%1.75B
-5.52%1.75B
10.35%1.54B
0.00%1.56B
-11.75%1.5B
-accounts payable
16.17%1.95B
16.17%1.95B
7.54%1.58B
3.74%1.55B
0.76%1.45B
-5.58%1.68B
-5.58%1.68B
12.71%1.47B
13.33%1.5B
5.58%1.44B
-Total tax payable
48.57%104M
48.57%104M
6.35%67M
-6.45%58M
31.75%83M
-4.11%70M
-4.11%70M
-25.88%63M
-73.95%62M
-81.42%63M
Current accrued expenses
11.35%363M
11.35%363M
4.76%484M
11.01%353M
11.29%473M
10.51%326M
10.51%326M
13.51%462M
13.98%318M
8.42%425M
Current debt and capital lease obligation
-12.20%2.45B
-12.20%2.45B
-43.42%1.37B
-27.63%2.04B
-56.14%1.17B
5.05%2.79B
5.05%2.79B
-8.28%2.43B
3.87%2.82B
128.17%2.67B
-Current debt
-12.92%2.33B
-12.92%2.33B
-45.78%1.25B
-28.94%1.92B
-58.81%1.05B
5.20%2.67B
5.20%2.67B
-8.74%2.31B
3.84%2.7B
140.25%2.55B
-Current capital lease obligation
4.24%123M
4.24%123M
3.45%120M
2.56%120M
2.59%119M
1.72%118M
1.72%118M
1.75%116M
4.46%117M
8.41%116M
Current deferred liabilities
20.87%498M
20.87%498M
11.52%484M
6.16%448M
-3.89%395M
4.04%412M
4.04%412M
8.23%434M
9.61%422M
10.78%411M
Other current liabilities
8.01%1.25B
8.01%1.25B
-7.00%1.09B
-3.28%1.06B
-2.50%1.21B
-8.51%1.16B
-8.51%1.16B
-2.98%1.17B
-3.26%1.1B
-1.66%1.24B
Current liabilities
2.81%6.61B
2.81%6.61B
-15.73%5.08B
-11.29%5.51B
-23.45%4.78B
-0.45%6.43B
-0.45%6.43B
-0.38%6.03B
2.37%6.22B
27.56%6.24B
Non current liabilities
Long term provisions
5.21%1.76B
5.21%1.76B
-8.44%1.67B
-8.20%1.68B
-8.12%1.67B
-8.59%1.67B
-8.59%1.67B
7.87%1.82B
8.99%1.83B
8.91%1.82B
Long term debt and capital lease obligation
3.56%25.93B
3.56%25.93B
6.01%25.3B
5.52%25.05B
12.02%25.05B
11.99%25.04B
11.99%25.04B
12.97%23.87B
12.41%23.74B
5.87%22.36B
-Long term debt
3.65%25.55B
3.65%25.55B
6.28%24.91B
5.77%24.66B
12.42%24.65B
12.42%24.65B
12.42%24.65B
13.50%23.44B
12.90%23.31B
6.22%21.93B
-Long term capital lease obligation
-2.33%377M
-2.33%377M
-8.37%394M
-8.37%394M
-8.37%394M
-10.02%386M
-10.02%386M
-9.85%430M
-8.90%430M
-9.28%430M
Non current deferred liabilities
8.53%10.17B
8.53%10.17B
8.95%10.07B
11.49%9.81B
11.16%9.71B
10.39%9.37B
10.39%9.37B
15.65%9.24B
15.26%8.8B
9.92%8.74B
Employee benefits
2.36%564M
2.36%564M
-12.10%552M
-11.65%561M
-11.53%560M
-6.93%551M
-6.93%551M
-1.57%628M
-2.76%635M
-2.76%633M
Derivative product liabilities
-91.67%8M
-91.67%8M
-53.33%56M
31.08%97M
44.68%136M
-20.66%96M
-20.66%96M
76.47%120M
138.71%74M
-30.88%94M
Total non current liabilities
3.87%43.8B
3.87%43.8B
4.61%42.6B
5.20%42.23B
8.52%42.13B
8.93%42.17B
8.93%42.17B
9.24%40.72B
8.81%40.14B
4.73%38.82B
Total liabilities
3.73%50.41B
3.73%50.41B
1.99%47.68B
2.99%47.75B
4.09%46.91B
7.59%48.6B
7.59%48.6B
7.89%46.75B
7.90%46.36B
7.40%45.07B
Shareholders'equity
Share capital
5.41%39M
5.41%39M
2.63%39M
2.63%39M
2.63%39M
0.00%37M
0.00%37M
2.70%38M
2.70%38M
2.70%38M
-common stock
5.41%39M
5.41%39M
2.63%39M
2.63%39M
2.63%39M
0.00%37M
0.00%37M
2.70%38M
2.70%38M
2.70%38M
Retained earnings
5.76%14.86B
5.76%14.86B
5.98%14.87B
5.53%14.48B
5.31%14.54B
5.02%14.05B
5.02%14.05B
5.29%14.03B
4.97%13.73B
5.18%13.81B
Paid-in capital
14.52%11.44B
14.52%11.44B
14.56%11.4B
14.67%11.37B
14.68%11.34B
1.27%9.99B
1.27%9.99B
1.23%9.96B
1.13%9.92B
2.81%9.89B
Less: Treasury stock
0.00%2.02B
0.00%2.02B
0.00%2.02B
0.00%2.02B
0.00%2.02B
0.00%2.02B
0.00%2.02B
0.00%2.02B
0.00%2.02B
9.26%2.02B
Gains losses not affecting retained earnings
-48.28%15M
-48.28%15M
-5.56%17M
-5.56%17M
-5.56%17M
31.82%29M
31.82%29M
-28.00%18M
-28.00%18M
-30.77%18M
Other equity interest
-15.70%-140M
-15.70%-140M
-14.75%-140M
-14.75%-140M
-14.75%-140M
0.82%-121M
0.82%-121M
0.00%-122M
0.00%-122M
0.00%-122M
Total stockholders'equity
10.14%24.19B
10.14%24.19B
10.37%24.17B
10.19%23.76B
10.03%23.78B
3.80%21.96B
3.80%21.96B
3.89%21.9B
3.63%21.56B
3.70%21.62B
Noncontrolling interests
--0
--0
----
----
----
--0
--0
----
----
----
Total equity
10.14%24.19B
10.14%24.19B
10.37%24.17B
10.19%23.76B
10.03%23.78B
3.80%21.96B
3.80%21.96B
3.89%21.9B
3.63%21.56B
3.70%21.62B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments 23.04%1.63B23.04%1.63B94.62%181M0.40%1.51B113.02%360M11.35%1.32B11.35%1.32B-82.75%93M-23.27%1.5B-78.08%169M
-Cash and cash equivalents 23.04%1.63B23.04%1.63B94.62%181M0.40%1.51B113.02%360M11.35%1.32B11.35%1.32B-82.75%93M-23.27%1.5B-78.08%169M
Receivables -1.71%3.86B-1.71%3.86B-7.03%3.35B-6.15%3.37B-3.02%3.85B3.67%3.93B3.67%3.93B8.73%3.6B22.34%3.59B26.41%3.97B
-Accounts receivable 5.86%2.58B5.86%2.58B-8.57%2.35B-1.28%2.39B5.00%2.75B0.91%2.44B0.91%2.44B25.34%2.57B43.94%2.42B28.33%2.62B
-Taxes receivable -92.41%11M-92.41%11M--1M--1M--119M14,400.00%145M14,400.00%145M------------
-Other receivables -9.92%445M-9.92%445M-16.63%346M-30.72%336M-23.83%441M-23.65%494M-23.65%494M-41.71%415M-34.46%485M-0.69%579M
Inventory 9.28%530M9.28%530M9.32%516M8.65%490M5.66%467M3.41%485M3.41%485M3.74%472M3.92%451M2.55%442M
Prepaid assets -14.38%381M-14.38%381M-16.48%1.15B-14.61%374M-2.35%999M-5.32%445M-5.32%445M23.51%1.37B34.36%438M22.81%1.02B
Restricted cash ----------1M--1M----------------------0
Other current assets -21.19%264M-21.19%264M-29.20%257M-8.91%276M16.03%362M-17.49%335M-17.49%335M21.40%363M-6.19%303M-19.59%312M
Total current assets 1.29%6.75B1.29%6.75B-10.20%5.46B-6.74%6.05B-0.54%6.13B1.94%6.66B1.94%6.66B2.37%6.08B4.58%6.49B5.08%6.17B
Non current assets
Net PPE 6.14%55.89B6.14%55.89B5.80%54.86B5.80%54.1B5.81%53.3B5.02%52.66B5.02%52.66B5.66%51.86B5.49%51.14B5.28%50.38B
-Gross PPE 6.34%72.38B6.34%72.38B5.97%71.05B5.83%70.04B5.85%68.99B5.82%68.07B5.82%68.07B6.47%67.05B6.50%66.18B6.42%65.18B
-Accumulated depreciation -7.00%-16.49B-7.00%-16.49B-6.55%-16.19B-5.91%-15.94B-5.97%-15.68B-8.66%-15.41B-8.66%-15.41B-9.37%-15.19B-10.11%-15.05B-10.48%-14.8B
Goodwill and other intangible assets -0.49%406M-0.49%406M0.00%408M0.00%408M0.00%408M0.00%408M0.00%408M0.00%408M0.00%408M0.25%408M
-Goodwill -0.49%406M-0.49%406M0.00%408M0.00%408M0.00%408M0.00%408M0.00%408M0.00%408M0.00%408M0.25%408M
Investments and advances 7.73%1.21B7.73%1.21B8.19%1.23B9.71%1.19B9.13%1.14B12.71%1.13B12.71%1.13B21.76%1.14B14.76%1.08B15.03%1.04B
Financial assets 366.67%126M366.67%126M76.19%37M123.81%47M-25.00%36M-43.75%27M-43.75%27M-19.23%21M-30.00%21M84.62%48M
Defined pension benefit 11.50%4.23B11.50%4.23B13.75%3.91B14.35%3.83B14.94%3.76B15.76%3.79B15.76%3.79B1.65%3.44B1.64%3.35B1.65%3.27B
Other non current assets 6.85%390M6.85%390M-1.81%380M4.72%355M4.31%339M15.51%365M15.51%365M28.57%387M78.42%339M74.73%325M
Total non current assets 6.19%67.85B6.19%67.85B6.10%66.38B6.54%65.45B6.68%64.56B6.86%63.9B6.86%63.9B7.01%62.57B6.71%61.43B6.28%60.51B
Total assets 5.73%74.6B5.73%74.6B4.66%71.84B5.27%71.5B6.02%70.69B6.38%70.56B6.38%70.56B6.58%68.65B6.51%67.92B6.17%66.68B
Liabilities
Current liabilities
Payables 17.47%2.05B17.47%2.05B7.49%1.65B3.34%1.61B2.06%1.53B-5.52%1.75B-5.52%1.75B10.35%1.54B0.00%1.56B-11.75%1.5B
-accounts payable 16.17%1.95B16.17%1.95B7.54%1.58B3.74%1.55B0.76%1.45B-5.58%1.68B-5.58%1.68B12.71%1.47B13.33%1.5B5.58%1.44B
-Total tax payable 48.57%104M48.57%104M6.35%67M-6.45%58M31.75%83M-4.11%70M-4.11%70M-25.88%63M-73.95%62M-81.42%63M
Current accrued expenses 11.35%363M11.35%363M4.76%484M11.01%353M11.29%473M10.51%326M10.51%326M13.51%462M13.98%318M8.42%425M
Current debt and capital lease obligation -12.20%2.45B-12.20%2.45B-43.42%1.37B-27.63%2.04B-56.14%1.17B5.05%2.79B5.05%2.79B-8.28%2.43B3.87%2.82B128.17%2.67B
-Current debt -12.92%2.33B-12.92%2.33B-45.78%1.25B-28.94%1.92B-58.81%1.05B5.20%2.67B5.20%2.67B-8.74%2.31B3.84%2.7B140.25%2.55B
-Current capital lease obligation 4.24%123M4.24%123M3.45%120M2.56%120M2.59%119M1.72%118M1.72%118M1.75%116M4.46%117M8.41%116M
Current deferred liabilities 20.87%498M20.87%498M11.52%484M6.16%448M-3.89%395M4.04%412M4.04%412M8.23%434M9.61%422M10.78%411M
Other current liabilities 8.01%1.25B8.01%1.25B-7.00%1.09B-3.28%1.06B-2.50%1.21B-8.51%1.16B-8.51%1.16B-2.98%1.17B-3.26%1.1B-1.66%1.24B
Current liabilities 2.81%6.61B2.81%6.61B-15.73%5.08B-11.29%5.51B-23.45%4.78B-0.45%6.43B-0.45%6.43B-0.38%6.03B2.37%6.22B27.56%6.24B
Non current liabilities
Long term provisions 5.21%1.76B5.21%1.76B-8.44%1.67B-8.20%1.68B-8.12%1.67B-8.59%1.67B-8.59%1.67B7.87%1.82B8.99%1.83B8.91%1.82B
Long term debt and capital lease obligation 3.56%25.93B3.56%25.93B6.01%25.3B5.52%25.05B12.02%25.05B11.99%25.04B11.99%25.04B12.97%23.87B12.41%23.74B5.87%22.36B
-Long term debt 3.65%25.55B3.65%25.55B6.28%24.91B5.77%24.66B12.42%24.65B12.42%24.65B12.42%24.65B13.50%23.44B12.90%23.31B6.22%21.93B
-Long term capital lease obligation -2.33%377M-2.33%377M-8.37%394M-8.37%394M-8.37%394M-10.02%386M-10.02%386M-9.85%430M-8.90%430M-9.28%430M
Non current deferred liabilities 8.53%10.17B8.53%10.17B8.95%10.07B11.49%9.81B11.16%9.71B10.39%9.37B10.39%9.37B15.65%9.24B15.26%8.8B9.92%8.74B
Employee benefits 2.36%564M2.36%564M-12.10%552M-11.65%561M-11.53%560M-6.93%551M-6.93%551M-1.57%628M-2.76%635M-2.76%633M
Derivative product liabilities -91.67%8M-91.67%8M-53.33%56M31.08%97M44.68%136M-20.66%96M-20.66%96M76.47%120M138.71%74M-30.88%94M
Total non current liabilities 3.87%43.8B3.87%43.8B4.61%42.6B5.20%42.23B8.52%42.13B8.93%42.17B8.93%42.17B9.24%40.72B8.81%40.14B4.73%38.82B
Total liabilities 3.73%50.41B3.73%50.41B1.99%47.68B2.99%47.75B4.09%46.91B7.59%48.6B7.59%48.6B7.89%46.75B7.90%46.36B7.40%45.07B
Shareholders'equity
Share capital 5.41%39M5.41%39M2.63%39M2.63%39M2.63%39M0.00%37M0.00%37M2.70%38M2.70%38M2.70%38M
-common stock 5.41%39M5.41%39M2.63%39M2.63%39M2.63%39M0.00%37M0.00%37M2.70%38M2.70%38M2.70%38M
Retained earnings 5.76%14.86B5.76%14.86B5.98%14.87B5.53%14.48B5.31%14.54B5.02%14.05B5.02%14.05B5.29%14.03B4.97%13.73B5.18%13.81B
Paid-in capital 14.52%11.44B14.52%11.44B14.56%11.4B14.67%11.37B14.68%11.34B1.27%9.99B1.27%9.99B1.23%9.96B1.13%9.92B2.81%9.89B
Less: Treasury stock 0.00%2.02B0.00%2.02B0.00%2.02B0.00%2.02B0.00%2.02B0.00%2.02B0.00%2.02B0.00%2.02B0.00%2.02B9.26%2.02B
Gains losses not affecting retained earnings -48.28%15M-48.28%15M-5.56%17M-5.56%17M-5.56%17M31.82%29M31.82%29M-28.00%18M-28.00%18M-30.77%18M
Other equity interest -15.70%-140M-15.70%-140M-14.75%-140M-14.75%-140M-14.75%-140M0.82%-121M0.82%-121M0.00%-122M0.00%-122M0.00%-122M
Total stockholders'equity 10.14%24.19B10.14%24.19B10.37%24.17B10.19%23.76B10.03%23.78B3.80%21.96B3.80%21.96B3.89%21.9B3.63%21.56B3.70%21.62B
Noncontrolling interests --0--0--------------0--0------------
Total equity 10.14%24.19B10.14%24.19B10.37%24.17B10.19%23.76B10.03%23.78B3.80%21.96B3.80%21.96B3.89%21.9B3.63%21.56B3.70%21.62B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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