CMS Energy Corporation 5.... (CMSC)
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24.37
-0.04%
After-hours Dec 13, 2024, 07:00 PM EST

Balance Sheet (Annual)

Get detailed breakdowns of the balance-sheet with total debts, total investments, and much more.
Year FY23 FY22 FY21 FY20 FY19 FY18 FY17 FY16 FY15 FY14 FY13 FY12 FY11 FY10 FY09 FY08 FY07 FY06 FY05 FY04 FY03 FY02 FY01 FY00 FY99 FY98 FY97 FY96 FY95 FY94
Cash & Equivalents 227.00M 164.00M 452.00M 168.00M 140.00M 153.00M 182.00M 235.00M 266.00M 207.00M 172.00M 93.00M 161.00M 247.00M 90.00M 213.00M 382.00M 351.00M 847.00M 669.00M 532.00M 377.00M 189.00M 182.00M 132.00M 101.00M 67.00M 56.00M 56.00M 79.00M
Short-Term Investments - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
Long-Term Investments 76.00M 71.00M 71.00M 70.00M 71.00M 69.00M 64.00M 65.00M 64.00M 61.00M 59.00M 57.00M 50.00M 49.00M 9.00M - - - - - - - - - - - - - - -
Other Long-Term Assets 5.50B 4.75B 3.70B 6.15B 5.51B 3.94B 3.81B 3.63B 3.31B 3.18B 2.64B 293.00M 276.00M 2.34B 2.32B 2.61B 2.43B 4.23B 4.25B 4.21B 4.38B 5.93B 4.90B 4.68B 5.52B 3.86B 3.22B 2.32B 2.16B 1.73B
Receivables 944.00M 1.58B 943.00M 872.00M 1.15B 1.23B 1.24B 1.01B 913.00M 1.02B 987.00M 938.00M 928.00M 1.08B 1.08B 952.00M 952.00M 875.00M 878.00M 581.00M 476.00M 757.00M 1.36B 1.44B 959.00M 720.00M 476.00M 373.00M 296.00M 154.00M
Inventory 938.00M 1.12B 667.00M 576.00M 605.00M 650.00M 672.00M 626.00M 778.00M 918.00M 881.00M 1.08B 1.19B 229.00M 1.32B 1.41B 1.33B 1.36B 1.27B 1.03B 892.00M 617.00M 813.00M 467.00M 430.00M 361.00M 317.00M 302.00M 304.00M 347.00M
Other Current Assets 730.00M 572.00M 565.00M 924.00M 441.00M 438.00M 379.00M 406.00M 363.00M 455.00M 486.00M 307.00M 289.00M 261.00M 1.35B 263.00M 215.00M 444.00M 701.00M 554.00M 594.00M 997.00M 667.00M 360.00M 296.00M 225.00M 278.00M 283.00M 254.00M 250.00M
Total Current Assets 2.84B 3.43B 2.63B 2.40B 2.33B 2.47B 2.48B 2.28B 2.32B 2.60B 2.53B 2.42B 2.56B 2.76B 2.74B 2.83B 2.88B 3.14B 3.90B 3.00B 2.49B 2.75B 3.03B 2.45B 1.82B 1.41B 1.14B 1.01B 910.00M 830.00M
Property-Plant & Equipment 25.10B 22.71B 22.35B 21.04B 18.93B 18.13B 16.76B 15.71B 14.71B 13.41B 12.25B 11.55B 10.63B 10.07B 9.68B 9.19B 8.73B 7.98B 7.84B 8.64B 6.94B 5.23B 8.36B 7.83B 8.12B 6.04B 5.43B 5.28B 5.07B 4.83B
Goodwill & Intangibles - - -2.34B -2.09B -1.86B -1.88B -1.70B -3.11B -2.77B -141.00M -114.00M 2.66B 2.85B 188.00M 269.00M - - 26.00M 27.00M 23.00M 25.00M - 811.00M 891.00M - - - - - -
Total Long-Term Assets 30.68B 27.92B 26.13B 27.26B 24.51B 22.06B 20.57B 19.34B 18.02B 16.59B 14.89B 14.71B 13.89B 12.86B 12.51B 12.07B 11.31B 12.23B 12.12B 12.87B 11.34B 11.17B 14.07B 13.40B 13.64B 9.90B 8.65B 7.60B 7.23B 6.55B
Total Assets 33.52B 31.35B 28.75B 29.67B 26.84B 24.53B 23.05B 21.62B 20.34B 19.18B 17.42B 17.13B 16.45B 15.62B 15.26B 14.90B 14.20B 15.37B 16.02B 15.87B 13.84B 13.91B 17.10B 15.85B 15.46B 11.31B 9.79B 8.62B 8.14B 7.38B
Account Payables 809.00M 928.00M 886.00M 668.00M 635.00M 733.00M 740.00M 610.00M 642.00M 688.00M 595.00M 521.00M 584.00M 492.00M 509.00M 516.00M 431.00M 566.00M 613.00M 392.00M 357.00M 549.00M 1.02B 1.09B 775.00M 580.00M 478.00M 411.00M 357.00M 244.00M
Deferred Revenue - - -1.27B -923.00M -644.00M 398.00M -762.00M -817.00M -474.00M -104.00M -327.00M 448.00M 422.00M 603.00M 443.00M - - - - - - - - - - - - - - -
Short-Term Debt 1.07B 1.12B 385.00M 702.00M 1.23B 1.09B 1.27B 1.28B 955.00M 600.00M 732.00M 651.00M 1.06B 750.00M 734.00M 514.00M 723.00M 566.00M 445.00M 476.00M 519.00M 1.10B 1.40B 1.11B 782.00M 621.00M 1.02B 742.00M 548.00M 403.00M
Other Current Liabilities 406.00M 396.00M 418.00M 1.25B 403.00M 400.00M 411.00M 413.00M 356.00M -190.00M 321.00M 346.00M 415.00M 477.00M 428.00M 314.00M 786.00M 1.02B 1.08B 887.00M 774.00M 1.24B 1.27B 2.06B 950.00M 609.00M 572.00M 570.00M 605.00M 574.00M
Total Current Liabilities 2.90B 1.87B 1.82B 1.57B 1.48B 1.53B 1.51B 1.37B 1.35B 1.41B 1.21B 1.80B 2.34B 2.02B 1.95B 1.86B 2.48B 2.16B 2.11B 1.75B 1.65B 2.90B 3.81B 3.20B 2.51B 1.81B 2.08B 1.72B 1.51B 1.22B
Long-Term Debt 14.59B 13.22B 12.12B 11.82B 12.06B 10.68B 9.21B 8.75B 8.52B 8.14B 7.24B 6.86B 6.21B 6.64B 6.09B 4.11B 5.79B 6.42B 7.27B 7.26B 6.76B 5.47B 6.98B 6.82B 7.08B 4.83B 3.35B 3.04B 3.01B 2.82B
Other Long-Term Liabilities 7.91B 5.02B 4.92B 6.71B 5.24B 4.84B 5.22B 3.57B 3.43B 5.92B 3.08B 4.17B 336.00M 2.25B 2.76B 532.00M -5.85B -6.60B -7.64B -7.84B -7.46B -1.00M -7.86B -7.68B -7.90B -5.62B -4.24B -3.90B -3.82B -3.58B
Total Long-Term Liabilities 22.50B 21.89B 19.74B 22.02B 20.30B 18.21B 17.06B 15.96B 15.02B 14.06B 12.71B 12.10B 11.04B 10.76B 10.36B 4.70B 4.41B 6.60B 7.65B 8.01B 7.46B 5.98B 10.96B 9.85B 9.81B 6.65B 5.11B 4.73B 4.81B 4.70B
Total Liabilities 25.39B 23.76B 21.57B 23.59B 21.78B 19.74B 18.57B 17.33B 16.36B 15.48B 13.93B 13.89B 13.38B 12.78B 12.32B 12.14B 11.76B 12.79B 13.10B 12.81B 12.18B 12.76B 15.13B 13.40B 13.01B 9.09B 7.82B 6.91B 6.67B 6.28B
Total Debt 15.64B 15.43B 12.47B 15.20B 13.25B 11.78B 10.49B 10.03B 9.51B 8.74B 7.97B 7.51B 7.26B 7.39B 6.83B 6.76B 6.51B 6.99B 7.73B 7.74B 7.28B 6.57B 8.38B 7.93B 7.86B 5.45B 4.37B 3.79B 3.56B 3.22B
Common Stock 3.00M 6.79B 6.41B 5.50B 5.02B 4.75B 4.44B 4.25B 3.94B 3.67B 3.45B 3.00M 3.00M 2.00M 2.00M 2.00M 2.00M 2.00M 2.00M 2.00M 2.00M 1.00M 1.00M 1.00M 1.00M 1.00M 1.00M 1.00M - 1.00M
Retained Earnings 1.66B 1.35B 1.06B 214.00M -25.00M -271.00M -531.00M -616.00M -855.00M -1.06B -1.24B -1.42B -1.55B -1.76B -1.93B -2.01B -2.21B -1.92B -1.83B -1.73B -1.84B -1.72B -1.05B -320.00M -189.00M -234.00M -189.00M -338.00M - -595.00M
Comprehensive Income -46.00M -52.00M -59.00M -86.00M -73.00M -65.00M -50.00M -50.00M -47.00M -49.00M -22.00M -55.00M -49.00M -40.00M -33.00M -28.00M -144.00M -318.00M -288.00M -336.00M -419.00M -753.00M -325.00M -256.00M -105.00M -145.00M -102.00M -6.00M 1.47B -4.30B
Shareholders Equity 7.54B 7.01B 6.63B 5.50B 5.02B 4.75B 4.44B 4.25B 3.94B 3.67B 3.45B 3.19B 3.03B 2.79B 2.84B 2.71B 2.38B 2.50B 2.58B 2.33B 1.58B 1.13B 1.89B 2.36B 2.46B 2.22B 1.98B 1.70B 1.47B 1.11B
Total Investments 76.00M 71.00M 71.00M 70.00M 71.00M 69.00M 64.00M 65.00M 64.00M 61.00M 59.00M 57.00M 50.00M 49.00M 9.00M - - - - - - - - - - - - - - -