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Balance Sheet - AVISTA CORP (AVA)

$(Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 19.00 30.00 38.67 21.96 22.17 14.20 10.49 19.94 18.50 11.90 11.17 22.60 179.26 163.74 171.24 69.41 96.44 24.31 19.98 58.15
Accounts receivable, net 259.00 237.00 246.00 286.49 232.65 213.59 177.70 165.82 185.66 228.53 193.53 171.93 229.13 193.68 218.83 258.94 227.08 241.62 135.47 286.15
Inventories 236.00 193.00 160.00 107.67 84.73 67.45 66.58 63.88 58.08 53.31 54.15 66.36 44.95 47.46 52.01 48.53 37.28 53.53 34.99 42.43
Other current assets 215.00 196.00 221.00 314.21 94.92 48.74 50.95 102.56 77.62 60.99 47.88 133.40 93.32 189.19 172.36 202.68 117.52 92.44 36.69 675.46
Total current assets 729.00 656.00 662.00 721.80 434.47 343.98 305.13 346.92 337.53 351.34 306.05 395.35 549.68 505.79 614.44 579.57 418.92 482.23 332.19 1,032.27
Total non-current assets + 7,915.00 7,285.00 7,040.00 6,695.55 6,419.11 6,058.12 5,777.33 5,435.65 5,177.20 4,958.41 4,600.60 4,316.98 3,812.24 3,807.39 3,599.98 3,360.53 3,188.04 3,148.52 2,857.61 3,024.23
Total assets 8,644.00 7,941.00 7,702.00 7,417.35 6,853.58 6,402.10 6,082.46 5,782.58 5,514.73 5,309.76 4,906.65 4,712.33 4,361.92 4,313.18 4,214.41 3,940.10 3,606.96 3,630.75 3,189.80 4,056.51
Total current liabilities + 878.00 771.00 775.00 964.53 913.11 505.88 530.71 639.58 697.50 407.53 474.68 385.27 625.34 576.15 627.06 579.18 505.40 688.54 763.65 945.21
Total non-current liabilities + 5,057.00 4,579.00 4,442.00 4,118.15 3,785.73 3,866.49 3,612.46 3,368.95 3,086.75 3,253.75 2,903.68 2,843.82 2,418.32 2,459.90 2,349.67 2,235.74 2,038.98 1,945.00 1,512.00 2,195.00
Total liabilities 5,935.00 5,350.00 5,217.00 5,082.68 4,698.84 4,372.37 4,143.17 4,008.53 3,784.25 3,661.28 3,378.36 3,229.09 3,043.66 3,036.04 2,976.73 2,814.91 2,544.38 2,633.86 2,275.83 3,139.66
Total stockholders' equity + 2,709.00 2,591.00 2,485.00 2,334.67 2,154.74 2,029.73 1,939.28 1,773.22 1,729.83 1,648.73 1,528.63 1,483.67 1,298.27 1,259.48 1,185.70 1,125.78 1,051.29 996.88 913.97 916.85
Common shares outstanding 81 79 76 73 70 68 66 66 65 64 63 62 60 59 58 56 55 54 53 50
Show Quarterly Balance Sheet

Balance Sheet - AVISTA CORP (AVA)

$(Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 18.00 19.00 44.00 9.00 17.00 30.00 9.12 14.65 12.27 38.67 232.43 236.29 222.76 21.96 14.36 21.62 203.60 22.17 19.22 39.03 23.39 14.20 84.75 116.39 18.92 10.49 14.45 17.66 16.92 19.94 21.17 35.33 30.20 18.50 17.10 18.83 29.93 11.90 7.08 13.52 12.77 10.48 9.31 17.70 22.08 22.60 17.50 216.18 186.02 179.26 184.85 177.76 192.59 163.74 197.18 222.50 237.07 193.20 182.62 69.92 61.84 69.41 56.68 38.53 104.03 96.44 95.63 90.28 101.21 24.31 15.03 5.38 13.23 19.98 7.83 106.92 109.45 58.15 58.30 75.99 118.61
Accounts receivable, net 227.00 259.00 193.00 236.00 257.00 237.00 152.81 161.51 226.70 246.00 164.06 164.91 244.38 286.49 188.55 195.91 227.63 232.65 169.85 155.78 197.50 213.59 115.07 117.18 155.25 177.70 108.58 115.49 170.20 165.82 104.89 117.83 168.53 185.66 167.71 169.75 213.56 228.53 165.40 121.28 149.54 169.41 110.84 136.32 162.20 171.93 124.55 127.61 202.82 221.34 139.51 147.98 193.75 193.68 157.57 153.63 188.73 218.83 189.45 176.58 218.82 249.30 172.44 174.06 212.19 227.08 149.49 127.93 218.00 218.85 93.33 149.38 223.73 105.44 112.72 187.64 258.93 286.15 188.04 211.16 347.58
Inventories 241.00 236.00 228.00 216.00 202.00 193.00 185.94 175.59 163.71 160.00 145.17 115.81 101.78 107.67 123.45 105.79 76.40 84.73 87.20 82.78 63.16 67.45 69.03 67.33 56.68 66.58 67.73 67.66 61.35 63.88 62.77 56.90 49.26 58.08 65.96 61.19 47.18 53.31 58.08 51.64 43.89 54.15 59.74 50.87 43.79 66.36 69.94 49.44 32.80 44.95 56.84 45.32 30.32 47.46 51.07 51.14 36.35 52.01 64.88 47.68 38.40 48.53 56.43 53.46 31.68 37.28 42.02 42.51 24.72 53.53 70.54 46.09 21.42 34.99 37.57 29.44 19.50 42.43 55.09 58.39 44.68
Other current assets 249.00 215.00 200.00 206.00 191.00 196.00 177.20 199.12 159.26 221.00 229.36 230.52 298.95 314.21 137.25 93.64 88.45 94.92 80.00 84.37 67.78 48.74 30.82 51.60 43.39 50.95 56.88 69.38 118.39 102.56 56.68 49.92 65.68 77.62 68.25 76.39 70.37 60.99 53.82 82.28 73.04 72.00 78.09 84.44 82.43 134.46 53.22 49.04 167.97 186.85 197.51 97.63 90.35 189.19 224.73 257.19 181.41 150.52 210.56 220.12 146.11 212.32 242.41 141.00 78.76 58.12 131.89 96.24 86.05 185.54 213.27 246.18 180.34 175.85 205.42 240.81 841.39 675.46 707.48 724.79 776.95
Total current assets 735.00 729.00 665.00 667.00 667.00 656.00 525.07 550.86 561.95 662.00 547.22 526.94 655.70 721.80 463.60 416.96 596.08 434.47 356.28 361.95 350.08 343.98 299.66 352.51 274.24 305.13 247.65 269.77 364.80 346.92 245.51 259.99 309.75 337.53 316.63 320.74 357.29 351.34 284.38 268.72 279.22 306.05 257.98 289.33 310.50 395.35 265.20 442.27 504.39 549.68 485.84 468.69 507.01 505.79 516.32 555.37 607.20 614.56 548.25 455.35 465.16 579.57 458.63 407.05 426.67 418.92 358.42 356.96 429.98 482.23 392.17 447.04 438.58 332.19 362.22 561.19 1,203.03 1,032.27 982.20 1,030.18 1,264.06
Total non-current assets + 7,673.00 7,915.00 7,497.00 7,398.00 7,299.00 7,285.00 7,255.81 7,132.91 7,087.04 7,040.00 6,922.81 6,844.38 6,738.23 6,695.55 6,592.20 6,520.75 6,439.93 6,419.11 6,375.20 6,284.35 6,049.41 6,058.12 5,983.47 5,950.12 5,899.76 5,777.33 5,717.14 5,608.16 5,525.18 5,435.65 5,311.89 5,241.80 5,175.44 5,177.20 5,135.60 5,052.27 4,983.07 4,958.41 4,930.73 4,800.30 4,676.79 4,600.60 4,481.23 4,390.66 4,378.53 4,316.98 4,071.14 3,759.86 3,811.69 3,812.24 3,916.16 3,879.10 3,825.12 3,807.39 3,673.94 3,660.99 3,646.80 3,599.98 3,420.33 3,387.55 3,358.63 3,360.53 3,294.00 3,254.18 3,243.57 3,188.04 3,199.56 3,140.89 3,113.72 3,148.52 2,992.92 2,952.83 2,884.25 2,857.61 2,797.91 2,743.94 2,701.60 3,024.23 2,967.41 3,036.85 3,042.38
Total assets 8,408.00 8,644.00 8,162.00 8,065.00 7,966.00 7,941.00 7,780.88 7,683.77 7,648.98 7,702.00 7,470.03 7,371.32 7,393.93 7,417.35 7,055.80 6,937.71 7,036.01 6,853.58 6,731.48 6,646.30 6,399.50 6,402.10 6,283.13 6,302.62 6,174.00 6,082.46 5,964.78 5,877.93 5,889.98 5,782.58 5,557.40 5,501.78 5,485.18 5,514.73 5,452.23 5,373.00 5,340.36 5,309.76 5,215.11 5,069.02 4,956.01 4,906.65 4,739.21 4,679.99 4,689.03 4,712.33 4,336.35 4,202.13 4,316.08 4,361.92 4,402.00 4,347.80 4,332.14 4,313.18 4,190.26 4,216.36 4,254.00 4,214.53 3,968.59 3,842.90 3,823.79 3,940.10 3,752.63 3,661.23 3,670.24 3,606.96 3,557.98 3,497.84 3,543.70 3,630.75 3,385.08 3,399.87 3,322.84 3,189.80 3,160.12 3,305.13 3,904.63 4,056.51 3,949.61 4,067.04 4,306.44
Total current liabilities + 820.00 878.00 729.00 668.00 721.00 771.00 700.16 624.77 580.28 775.00 583.46 541.16 604.59 964.53 685.20 553.40 641.93 913.11 799.19 891.91 492.80 505.88 474.84 656.56 565.81 530.71 399.19 516.74 566.64 639.58 346.90 289.07 669.70 697.50 673.25 682.11 366.83 407.53 341.88 501.71 431.84 474.68 447.74 306.95 325.63 385.27 270.82 464.33 570.22 625.34 550.24 582.46 579.78 576.15 547.85 584.65 605.03 627.17 576.55 454.95 454.12 579.18 531.62 476.56 505.62 503.42 447.28 621.84 623.59 688.54 595.13 616.03 640.30 763.65 631.05 784.35 1,108.09 945.21 1,093.26 1,091.25 1,313.67
Total non-current liabilities + 4,812.00 5,057.00 4,788.00 4,752.00 4,596.00 4,579.00 4,552.64 4,531.77 4,548.20 4,442.00 4,476.68 4,429.73 4,404.03 4,118.15 4,135.75 4,146.82 4,160.79 3,785.73 3,830.66 3,684.43 3,838.11 3,866.49 3,825.44 3,671.02 3,649.10 3,612.46 3,672.03 3,477.16 3,455.12 3,368.95 3,460.14 3,450.00 3,056.92 3,086.75 3,108.04 3,004.00 3,288.09 3,253.75 3,244.70 2,950.57 2,934.90 2,903.68 2,783.27 2,859.04 2,856.64 2,843.82 2,573.77 2,328.25 2,394.74 2,418.32 2,541.31 2,450.91 2,447.62 2,459.90 2,358.50 2,361.87 2,383.67 2,349.67 2,169.58 2,220.36 2,167.05 2,189.01 2,115.13 2,099.46 2,101.83 2,052.93 2,063.50 1,833.47 1,889.80 1,949.00 1,811.00 1,818.00 1,744.00 1,512.00 1,616.00 1,595.00 1,869.00 2,197.00 2,038.00 2,157.00 2,186.00
Total liabilities 5,632.00 5,935.00 5,517.00 5,420.00 5,317.00 5,350.00 5,252.80 5,156.53 5,128.48 5,217.00 5,060.14 4,970.89 5,008.62 5,082.68 4,820.95 4,700.22 4,802.71 4,698.84 4,629.84 4,576.34 4,330.91 4,372.37 4,300.28 4,327.59 4,214.90 4,143.17 4,071.22 3,993.89 4,021.76 4,008.53 3,807.05 3,739.07 3,726.61 3,784.25 3,781.29 3,686.11 3,654.91 3,661.28 3,586.58 3,452.28 3,366.75 3,378.36 3,231.01 3,165.98 3,182.27 3,229.09 2,844.59 2,792.59 2,964.97 3,043.66 3,091.55 3,033.38 3,027.40 3,036.04 2,906.35 2,946.52 2,988.70 2,976.85 2,746.13 2,675.31 2,621.16 2,768.19 2,646.76 2,576.02 2,607.45 2,556.35 2,510.78 2,455.31 2,513.38 2,633.86 2,406.43 2,434.05 2,383.73 2,275.83 2,247.23 2,378.54 2,977.36 3,139.66 3,130.95 3,222.08 3,473.28
Total stockholders' equity + 2,776.00 2,709.00 2,645.00 2,645.00 2,649.00 2,591.00 2,528.09 2,527.24 2,520.50 2,485.00 2,409.89 2,400.42 2,385.31 2,334.67 2,234.85 2,237.49 2,233.30 2,154.74 2,101.64 2,069.97 2,068.59 2,029.73 1,982.85 1,975.04 1,959.10 1,939.28 1,893.57 1,884.03 1,867.31 1,773.22 1,749.55 1,762.46 1,758.39 1,729.83 1,670.33 1,687.17 1,685.68 1,648.73 1,628.79 1,617.03 1,589.59 1,528.63 1,508.55 1,514.39 1,507.18 1,483.67 1,492.21 1,410.02 1,330.48 1,298.27 1,289.40 1,293.81 1,283.98 1,259.48 1,259.74 1,216.84 1,208.14 1,185.70 1,170.92 1,168.14 1,160.38 1,125.78 1,106.49 1,085.87 1,063.45 1,051.29 1,036.16 1,033.03 1,019.22 996.88 978.65 965.82 939.11 913.97 912.90 926.59 927.27 916.85 818.66 844.96 833.15
Common shares outstanding 82 82 81 81 80 80 79 78 78 78 77 76 75 75 73 73 72 72 70 70 70 70 68 68 67 67 66 66 66 66 66 66 66 65 65 65 64 65 64 64 63 63 63 63 63 63 64 60 60 60 60 60 60 60 59 59 59 59 58 58 57 57 56 55 55 55 55 55 55 55 54 54 53 53 53 53 53 53 50 50 49
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