NI Cash Flow Statement

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Operating Activities
Net Income 260.5M
Adjustments to Reconcile Net Income to Net Cash from Continuing Operations:
Depreciation and amortization 143.6M
Net changes in price risk management assets and liabilities 1.4M
Deferred income taxes and investment tax credits 116.5M
Deferred revenue -400K
Stock compensation expense and 401(k) profit sharing contribution 10.6M
Loss on sale of assets -200K
Loss on impairment of assets
Income from unconsolidated affiliates -7.3M
Gain on disposition of discontinued operations - net of taxes -36.4M
Loss from discontinued operations - net of taxes -8.7M
Amortization of debt related costs 2.3M
AFUDC equity -3.5M
Distributions of earnings received from equity investee 7M
Changes in Assets and Liabilities:
Accounts receivable -161.3M
Income tax receivable 50.4M
Inventories 254.7M
Accounts payable 25.4M
Customer deposits and credits -102M
Taxes accrued 28.7M
Interest accrued -65.5M
Over (Under) recovered gas and fuel costs 69.3M
Exchange gas receivable/payable -89.8M
Other accruals -26.6M
Prepayments and other current assets -5.8M
Regulatory assets/liabilities 5.8M
Postretirement and postemployment benefits -36.8M
Deferred credits 7.7M
Deferred charges and other noncurrent assets -400K
Other noncurrent liabilities -1.9M
Net Operating Activities from Continuing Operations 437.3M
Net Operating Activities used for Discontinued Operations 11.8M
Net Cash Flows from Operating Activities 449.1M
Investing Activities
Capital expenditures -369.3M
Insurance recoveries
Proceeds from disposition of assets 500K
Restricted cash withdrawals (deposits) 23.6M
Contributions to equity investees -17.1M
Other investing activities -5.3M
Net Investing Activities used for Continuing Operations -367.6M
Net Investing Activities from Discontinued Operations 121.5M
Net Cash Flow used for Investing Activities -246.1M
Financing Activities
Issuance of long-term debt
Retirement of long-term debt -427.1M
Premiums and other debt related costs
Change in short-term borrowings, net 354.3M
Issuance of common stock 17.2M
Acquisition of treasury stock -7.6M
Dividends paid - common stock -74.7M
Net Cash Flow used for Financing Activities -137.9M
Change in cash and cash equivalents from continuing operations -68.2M
Cash contributions to discontinued operations 133.3M
Cash and cash equivalents at beginning of period 36.3M
Cash and Cash Equivalents at End of Period 101.4M