| XYF |
X Financial |
72%
|
ax financial and taxable income and between the book and tax bases of assets and liabilities utilizing rates that are scheduled to be in effect when the temporary differences are expected to reverse.… |
| XYF |
X Financial |
72%
|
Reciprocal relationship from XYF graph: Reciprocal relationship from XEL graph: Reciprocal relationship from XYF graph: Reciprocal relationship from XEL graph: ax financial and taxable income and bet… |
| AVAILABLE-CASH-LIQUIDITY-XCEL-ENERGY-INC |
AVAILABLE-CASH-LIQUIDITY-XCEL-ENERGY-INC |
62%
|
applicable to large load customers. These tariffs are designed to allow us to serve these new customers and support local economic development while protecting existing customers from bearing the inc… |
| AVAILABLE-XCEL-ENERGY-INC |
AVAILABLE-XCEL-ENERGY-INC |
62%
|
ble, net 1,346 1,330 Accrued unbilled revenues 746 880 Inventories 709 761 Regulatory assets 482 529 Derivative instruments 138 165 Prepayments and other 701 1,075 Total current assets 5,882 5,014 Pr… |
| DIRECT-SUBSIDIARY-XCEL-ENERGY-WHOLESALE-GROUP-IN |
DIRECT-SUBSIDIARY-XCEL-ENERGY-WHOLESALE-GROUP-IN |
62%
|
ommon stock ($ 2.08 per share) ( 1,148 ) ( 1,148 ) Issuances of common stock 5,363,685 13 295 308 Share-based compensation 15 ( 4 ) 11 Balance at Dec. 31, 2023 554,941,703 $ 1,387 $ 8,465 $ 7,858 $ (… |
| INC-XCEL-ENERGY-INTERNATIONAL-INC |
INC-XCEL-ENERGY-INTERNATIONAL-INC |
62%
|
ommon stock ($ 2.08 per share) ( 1,148 ) ( 1,148 ) Issuances of common stock 5,363,685 13 295 308 Share-based compensation 15 ( 4 ) 11 Balance at Dec. 31, 2023 554,941,703 $ 1,387 $ 8,465 $ 7,858 $ (… |
| ISSUER-SECURITY-AMOUNT-STATUS-TENOR-COUPON-XCEL- |
ISSUER-SECURITY-AMOUNT-STATUS-TENOR-COUPON-XCEL- |
62%
|
applicable to large load customers. These tariffs are designed to allow us to serve these new customers and support local economic development while protecting existing customers from bearing the inc… |
| NICOLLET-PROJECT-HOLDINGS |
NICOLLET-PROJECT-HOLDINGS |
62%
|
ommon stock ($ 2.08 per share) ( 1,148 ) ( 1,148 ) Issuances of common stock 5,363,685 13 295 308 Share-based compensation 15 ( 4 ) 11 Balance at Dec. 31, 2023 554,941,703 $ 1,387 $ 8,465 $ 7,858 $ (… |
| SPP-SOUTHWEST-POWER-POOL-INC |
SPP-SOUTHWEST-POWER-POOL-INC |
62%
|
oalkyl Substances PPA Power purchase agreement PTC Production tax credit RFP Request for proposal ROE Return on equity ROU Right-of-use RTO Regional Transmission Organization SIP State implementation… |
| TELEPORT-COMMUNICATIONS-AMERICA-LLC |
TELEPORT-COMMUNICATIONS-AMERICA-LLC |
62%
|
ve Loss Regulatory Assets and Liabilities Three Months Ended March 31, 2026 Derivatives designated as cash flow hedges: Interest rate $ 1 (a) $ — $ — Total $ 1 $ — $ — Other derivative instruments: C… |
| XCEL-ENERGY-QWEST-CORPORATION |
XCEL-ENERGY-QWEST-CORPORATION |
62%
|
ve Loss Regulatory Assets and Liabilities Three Months Ended March 31, 2026 Derivatives designated as cash flow hedges: Interest rate $ 1 (a) $ — $ — Total $ 1 $ — $ — Other derivative instruments: C… |