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CMS Stock Annual Cash Flow. Download in Excel

CMS Energy Corporation logo

CMS Energy Corporation

Sector: Utilities   

Industry: Utilities - Regulated Electric

66.61
 
USD
  
0.85
  
(1.29%)
Previous close: 65.76  Open: 65.85  Bid: 65.58  Ask: 68.16
52 week range    
55.10   
   72.40
Mkt Cap: 20,031 M  Avg Vol (90 Days): 2,211,838
Peers   
LNT / 
DTE / 
EXC / 
XEL / 
MGEE / 
AEE / 
Last updated: Monday 23rd December 2024

Stock Rankings

69
MarketXLS Rank
100
Value
53
Technical
55
Quality
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Financials

CMS Cash Flow

Annual
Dec-14Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22Dec-23
(Increase) Decrease in inventories-36 M144 M145 M-45 M15 M40 M28 M-93 M-450 M185 M
(Increase) Decrease in other current liabilities307 M
(Increase) Decrease in other working capital-242 M121 M-49 M33 M-101 M-129 M-104 M-3 M10 M126 M
(Increase) Decrease in payables47 M-22 M57 M43 M12 M-63 M56 M153 M4 M-136 M
(Increase) Decrease in receivables-16 M104 M-138 M-63 M-26 M8 M-5 M-103 M-677 M241 M
AssetImpairmentCharge72 M50 M31 M107 M54 M67 M30 M22 M50 M34 M
CapitalExpenditureReported4,723 M4,638 M4,984 M4,929 M5,930 M6,274 M2,311 M2,076 M2,374 M
Cash at beginning of period172 M249 M288 M257 M204 M175 M157 M185 M476 M182 M
Cash at end of period-1,308 M-1,974 M-1,605 M372 M225 M426 M185 M476 M476 M248 M
Cash flow2,502 M3,048 M2,967 M5,477 M4,669 M5,317 M1,243 M2,587 M860 M2,309 M
CashFlowFromContinuingInvestingActivities-5,216 M-5,666 M-5,451 M-5,323 M-6,548 M-7,090 M-2,382 M-1,311 M-2,476 M-3,386 M
CashFlowFromDiscontinuedOperation-36 M-774 M-5 M
CashFromDiscontinuedOperatingActivities-36 M-774 M-5 M
ChangeInAccountPayable47 M-22 M57 M43 M12 M-63 M56 M153 M4 M-136 M
ChangeInPayablesAndAccruedExpense47 M-22 M57 M43 M12 M-63 M56 M153 M4 M-136 M
ChangeInWorkingCapital-247 M347 M15 M-32 M-100 M-144 M-25 M-46 M-1,113 M416 M
ChangesInAccountReceivables-16 M104 M-138 M-63 M-26 M8 M-5 M-103 M-677 M241 M
CommonStockDividendPaid-1,213 M-1,274 M-1,349 M-1,425 M-1,473 M-1,624 M-467 M-509 M-546 M
Current deferred income taxes263 M204 M289 M743 M428 M224 M170 M249 M89 M157 M
Deferred income taxes263 M204 M289 M743 M428 M224 M170 M249 M89 M157 M
Depreciation678 M744 M803 M2,625 M933 M992 M1,043 M1,114 M1,126 M1,180 M
Depreciation unreconciled678 M744 M803 M2,625 M2,775 M2,942 M1,043 M1,114 M1,126 M1,180 M
DepreciationAndAmortization678 M744 M803 M2,625 M933 M992 M1,043 M1,114 M1,126 M1,180 M
FinancingCashFlow1,234 M395 M591 M-39 M1,900 M2,024 M1,203 M-295 M1,327 M1,143 M
Free cash flow2,502 M3,048 M2,967 M5,477 M4,669 M5,317 M1,207 M1,819 M855 M2,309 M
IncomeTaxPaidSupplementalData554 M-158 M132 M3 M189 M206 M-58 M16 M1000000.015 M
InterestPaidSupplementalData846 M876 M939 M950 M1,032 M1,056 M549 M489 M490 M607 M
Issuance of capital stock43 M43 M72 M83 M41 M12 M253 M26 M69 M192 M
Issuance of debt-330 M567 M447 M-684 M-219 M-21 M-90 M20 M73 M
IssuanceOfCapitalStock43 M43 M72 M83 M41 M12 M253 M26 M69 M192 M
IssuanceOfDebt1,897 M1,408 M1,364 M527 M2,504 M1,749 M1,079 M100 M1,813 M1,492 M
Net cash from financing activities1,234 M395 M591 M-39 M1,900 M2,024 M1,203 M-211 M1,327 M1,143 M
Net cash from investing activities-5,216 M-5,666 M-5,451 M-5,323 M-6,548 M-7,090 M-2,382 M-1,233 M-2,476 M-3,386 M
Net cash from operating activities2,502 M3,048 M2,967 M5,477 M4,669 M5,317 M1,207 M1,819 M855 M2,309 M
Net change in cash & cash equivalents-1,480 M-2,223 M-1,893 M115 M21 M251 M28 M291 M-294 M66 M
Net income from continuing operations1,731 M1,848 M1,902 M1,862 M2,200 M2,374 M752 M1,330 M813 M808 M
NetBusinessPurchaseAndSale898 M5 M
NetCommonStockIssuance43 M43 M72 M83 M41 M12 M253 M26 M69 M192 M
NetInvestmentPropertiesPurchaseAndSale-493 M-1,028 M-467 M-394 M-618 M-1,067 M-129 M-133 M-107 M-167 M
NetInvestmentPurchaseAndSale-493 M-1,028 M-467 M-394 M-618 M-1,067 M-129 M-133 M-107 M-167 M
NetIssuancePaymentsOfDebt1,897 M1,408 M1,364 M527 M2,504 M1,749 M1,079 M100 M1,813 M1,492 M
NetLongTermDebtIssuance2,227 M841 M917 M1,211 M2,723 M1,770 M1,169 M100 M1,793 M1,419 M
NetPreferredStockIssuance224 M
Operating (gains) losses-5 M-243 M-98 M-28 M-736 M-24 M-712 M-12 M-12 M-12 M
Other financing charges net863 M218 M522 M806 M904 M1,911 M397 M-52 M-555 M-541 M
Other investing changes net-238 M-749 M-331 M-256 M-444 M-323 M-129 M-133 M-107 M-167 M
Other non-cash items82 M148 M56 M307 M102 M-55 M15 M-48 M-43 M-240 M
Payment of cash dividends1,213 M1,274 M1,349 M1,425 M1,473 M1,624 M467 M509 M546 M
PensionAndEmployeeBenefitExpense-5 M-243 M-98 M-28 M-736 M-24 M-712 M-12 M-12 M-12 M
PreferredStockIssuance224 M
Purchase of Float term investments-138 M-532 M-744 M-674 M
Purchase of short term investments3,417 M1,313 M2,041 M3,301 M6,979 M4,137 M3,179 M335 M1,899 M3,551 M
PurchaseOfInvestment-138 M-532 M-744 M-674 M
PurchaseOfPPE-4,723 M-4,638 M-4,984 M-4,929 M-5,930 M-6,274 M-2,311 M-2,076 M-2,374 M
Repayment of debt-1,190 M-472 M-1,124 M-2,090 M-4,256 M-2,367 M-2,010 M-235 M-106 M-2,132 M
RepaymentOfDebt-1,520 M95 M-677 M-2,774 M-4,475 M-2,388 M-2,100 M-235 M-86 M-2,059 M
Sale of Float term investments-255 M-279 M-136 M-138 M
Sale of short term investments358 M
SaleOfBusiness898 M5 M
SaleOfInvestment-255 M-279 M-136 M-138 M358 M
SaleOfPPE251 M58 M
ShortTermDebtIssuance20 M
ShortTermDebtPayments-330 M567 M447 M-684 M-219 M-21 M-90 M20 M73 M
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