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Condensed Consolidated Statements of Cash Flows (Unaudited) - Southern - USD ($)
$ in Millions
9 Months Ended
Sep. 30, 2024
Sep. 30, 2023
Operating Activities:    
Consolidated Net Income $ 3,794 $ 3,053
Adjustments to reconcile net income to net cash provided from operating activities —    
Depreciation and amortization, total 3,916 3,699
Deferred income taxes 520 (52)
Utilization of federal tax credit carryforward 87 195
Allowance for equity funds used during construction (167) (200)
Pension, postretirement, and other employee benefits (391) (397)
Settlement of asset retirement obligations (405) (444)
Stock based compensation expense 120 119
Estimated loss on Plant Vogtle Units 3 and 4 (21) 160
Retail fuel cost under recovery – long-term 0 (157)
Other, net (100) (26)
Changes in certain current assets and liabilities —    
Receivables (233) 524
Retail fuel cost under recovery 843 513
Fossil fuel for generation 143 (254)
Materials and supplies (195) (271)
Natural gas cost under recovery 0 108
Other current assets (181) (32)
Accounts payable (161) (1,031)
Accrued taxes 179 376
Accrued compensation (90) (197)
Customer refunds (28) (177)
Natural gas cost over recovery 12 165
Other current liabilities (27) 66
Net cash provided from operating activities 7,615 5,740
Investing Activities:    
Property additions (6,206) (6,561)
Nuclear decommissioning trust fund purchases (1,070) (885)
Nuclear decommissioning trust fund sales 1,070 879
Proceeds from dispositions 370 165
Cost of removal, net of salvage (444) (421)
Change in construction payables, net (119) 241
Other investing activities (279) (139)
Net cash used for investing activities (6,678) (6,721)
Financing Activities:    
Decrease in notes payable, net (1,264) (298)
Proceeds —    
Long-term debt 5,321 7,812
Short-term borrowings 700 250
Common stock 112 26
Redemptions and repurchases —    
Long-term debt (2,167) (3,567)
Short-term borrowings (1,020) (850)
Distributions to noncontrolling interests (108) (148)
Payment of common stock dividends (2,220) (2,271)
Other financing activities (157) (120)
Net cash provided from (used for) financing activities (803) 834
Net Change in Cash, Cash Equivalents, and Restricted Cash 134 (147)
Cash, Cash Equivalents, and Restricted Cash at Beginning of Period 921 2,037
Cash, Cash Equivalents, and Restricted Cash at End of Period 1,055 1,890
Supplemental Cash Flow Information:    
Interest, net of amounts capitalized 2,015 1,694
Income taxes, net 131 11
Noncash transactions —    
Accrued property additions at end of period 937 1,224
Right-of-use assets obtained under operating leases 126 76
Right-of-use assets obtained under finance leases 1 3
Reassessment of right-of-use assets under operating leases (7) 0
Issuance of common stock under dividend reinvestment plan $ 123 $ 0