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ENOEntergy New Orleans, LLC First Mortgage Bonds, 5.50% Series due April 1, 2066
$21.78$10.1B
Overview & Verdict
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HomeStocksENOQuarterly Cash Flow

Entergy New Orleans, LLC First Mortgage Bonds, 5.50% Series due April 1, 2066 (ENO) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Entergy New Orleans, LLC First Mortgage Bonds, 5.50% Series due April 1, 2066 (ENO) quarterly cash flow statement — complete operating, investing & financing history

ENO Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations-3.68M979.5M-375.24M21.06M2.59M341.47M436.76M36.28M9.14M17.32M84.68M29.37M
Operating CF Growth %-242.22%186.85%-185.91%-41.94%-71.67%1871.07%415.77%23.51%-87.23%-93.53%108.73%112.66%
Operating CF / Revenue %-0.12%33.1%-9.84%0.63%0.09%163.28%12.89%18.2%4.74%8.99%33.3%15.62%
Net Income6.38M334.07M-158.2M-157.73M12.1M133.59M187.88M21.13M-48.98M161.39M43.55M13.86M
Depreciation & Amortization19M652.53M-175.63M-173.56M21.84M79.08M217.76M21.13M20.91M20.81M20.83M20.06M
Deferred Taxes000000000000
Other Non-Cash Items-29.06M-29.71M-74.04M383.18M-6.93M169.56M44.11M13.66M-36.18M-210.43M10.24M-7.47M
Working Capital Changes022.61M32.63M-30.82M-24.42M-40.76M-12.98M-19.64M73.39M45.55M10.06M2.92M
Capital Expenditures0-1.4B238.94M-81.77M-32.61M-44.52M81.77M-39.48M-32.04M-35.39M-39.66M-72.26M
CapEx / Revenue %0%47.41%6.27%2.46%0%21.29%2.41%19.81%16.6%18.36%15.6%38.43%
CapEx / D&A0.00x2.15x-1.36x-0.47x0.00x0.56x0.38x1.87x1.53x1.70x1.90x3.60x
CapEx Coverage (OCF/CapEx)-0.70x-1.57x0.26x-7.67x5.34x0.92x0.29x0.49x2.13x0.41x
Cash from Investing-37.23M-1.4B238.94M-55.53M-21.85M-44.52M-44.52M-37.56M-36.89M-20.72M-10.99M-72.26M
Acquisitions000000000000
Purchase of Investments000000000000
Sale of Investments000000000000
Other Investing-37.23M-1.53B281.23M26.23M-21.85M-34.27M-126.28M1.92M-4.85M14.68M28.68M-30.15M
Cash from Financing-381K843.55M-162.03M20.57M1.41M-217.01M-63.53M7.81M27.75M-111.39M-100.26M8.37M
Dividends Paid0-3.11M-1.55M-1.55M0-1.55M-1.55M00-125M00
Dividend Payout Ratio %-0.45%0.22%8.61%-0.35%0.24%--77.45%--
Debt Issuance (Net)0-1000K001000K0000-1000K-1000K0
Stock Issued000000000000
Share Repurchases000000000000
Other Financing-381K848.38M-160.47M22.13M-306K-215.46M-61.98M7.81M27.75M21.39M-249K8.37M
Net Change in Cash-41.29M206.41M-284.94M-353.62M-17.85M-168.65M238.84M6.53M0-114.78M-26.56M-34.52M
Exchange Rate Effect000000000000
Cash at Beginning110.26M68.7M353.64M353.64M31.78M353.64M114.81M26K26K114.81M141.37M175.89M
Cash at End68.97M275.11M68.7M26K13.93M185M353.64M6.56M26K26K114.81M141.37M
Free Cash Flow-3.68M-423.36M-136.3M-494.88M-30.02M296.95M518.53M-3.2M-22.9M-18.07M45.02M-42.88M
FCF Growth %87.73%-242.57%-126.29%-15350.52%-31.09%1743.34%1051.86%92.53%-114.61%-220.56%753.94%-29.05%
FCF Margin %-0.12%-14.31%-3.58%-14.87%-1.05%141.99%15.3%-1.61%-11.87%-9.37%17.7%-22.81%
FCF / Net Income %-0.96%-61.74%-19.65%-2742.93%-8.32%67.72%80.4%-15.16%46.76%-11.2%103.38%-309.48%