<results> <copyright>Copyright (c) 2025 QuoteMedia, Inc.</copyright> <count>1</count> <companies> <company> <symbolInformation> <symbolString>EXC</symbolString> <symbol>EXC</symbol> <longName>Exelon Corp.</longName> <shortName>Exelon Corp.</shortName> <currency>USD</currency> <cusip>30161N101</cusip> <isin>US30161N1019</isin> <openFigi>BBG001SBJMT2</openFigi> <qmIdentifier>USI82Z2M252Z4AU</qmIdentifier> <exchange> <excode>NGS</excode> <longName>Nasdaq Global Select</longName> <shortName>NGS</shortName> <country>US</country> ... </exchange> ... </symbolInformation> <name>Exelon Corporation</name> <template>U</template> <reports> <reports> <reportDate>2024-12-31</reportDate> <reportPeriod>A</reportPeriod> <periodEndDate>2024-12-31</periodEndDate> <currency>USD</currency> <latestFiscalDate>2024-12-31</latestFiscalDate> <reportQuarter>Q4</reportQuarter> <reportYear>2024</reportYear> <balanceSheet> <totalAssets>107784000000</totalAssets> <currentAssets>8384000000</currentAssets> <cashCashEquivalentsAndShortTermInvestments>357000000</cashCashEquivalentsAndShortTermInvestments> <inventory>853000000</inventory> <prepaidAssets>494000000</prepaidAssets> <restrictedCash>541000000</restrictedCash> <otherCurrentAssets>2385000000</otherCurrentAssets> <totalNonCurrentAssets>97838000000</totalNonCurrentAssets> <netPPE>78182000000</netPPE> <goodwillAndOtherIntangibleAssets>6630000000</goodwillAndOtherIntangibleAssets> <investmentsAndAdvances>290000000</investmentsAndAdvances> <otherNonCurrentAssets>12736000000</otherNonCurrentAssets> <currentLiabilities>9611000000</currentLiabilities> <payablesAndAccruedExpenses>1468000000</payablesAndAccruedExpenses> <totalDeferredCreditsAndOtherNonCurrentLiabilities>28344000000</totalDeferredCreditsAndOtherNonCurrentLiabilities> <currentDebtAndCapitalLeaseObligation>3312000000</currentDebtAndCapitalLeaseObligation> <currentDeferredLiabilities>446000000</currentDeferredLiabilities> <otherCurrentLiabilities>928000000</otherCurrentLiabilities> <longTermProvisions>301000000</longTermProvisions> <nonCurrentDeferredLiabilities>14538000000</nonCurrentDeferredLiabilities> <employeeBenefits>472000000</employeeBenefits> <derivativeProductLiabilities>103000000</derivativeProductLiabilities> <otherNonCurrentLiabilities>12930000000</otherNonCurrentLiabilities> <totalEquityGrossMinorityInterest>27167000000</totalEquityGrossMinorityInterest> <stockholdersEquity>26921000000</stockholdersEquity> <capitalStock>21338000000</capitalStock> <retainedEarnings>5706000000</retainedEarnings> <treasuryStock>123000000</treasuryStock> <totalCapitalization>26921000000</totalCapitalization> <totalLiabilities>80863000000</totalLiabilities> <totalLiabilitiesAndTotalEquityGrossMinorityInterest>107784000000</totalLiabilitiesAndTotalEquityGrossMinorityInterest> <totalEquityGrossMinority>27167000000</totalEquityGrossMinority> ... </balanceSheet> <cashFlow> <operatingCashFlow>5569000000</operatingCashFlow> <cashFlowFromContinuingOperatingActivities>5569000000</cashFlowFromContinuingOperatingActivities> <netIncomeFromContinuingOperations>2460000000</netIncomeFromContinuingOperations> <operatingGainsLosses>-192000000</operatingGainsLosses> <depreciationAmortizationDepletion>3596000000</depreciationAmortizationDepletion> <deferredTax>128000000</deferredTax> <otherNonCashItems>592000000</otherNonCashItems> <changeInWorkingCapital>-1015000000</changeInWorkingCapital> <investingCashFlow>-7042000000</investingCashFlow> <cashFlowFromContinuingInvestingActivities>-7042000000</cashFlowFromContinuingInvestingActivities> <netPPEPurchaseAndSale>-7059000000</netPPEPurchaseAndSale> <netInvestmentPurchaseAndSale>17000000</netInvestmentPurchaseAndSale> <netOtherInvestingChanges>17000000</netOtherInvestingChanges> <financingCashFlow>1311000000</financingCashFlow> <cashFlowFromContinuingFinancingActivities>1311000000</cashFlowFromContinuingFinancingActivities> <netIssuancePaymentsOfDebt>2753000000</netIssuancePaymentsOfDebt> <netCommonStockIssuance>191000000</netCommonStockIssuance> <cashDividendsPaid>1524000000</cashDividendsPaid> <netOtherFinancingCharges>-109000000</netOtherFinancingCharges> <endCashPosition>-162000000</endCashPosition> <changesInCash>-162000000</changesInCash> <issuanceOfCapitalStock>191000000</issuanceOfCapitalStock> <issuanceOfDebt>2753000000</issuanceOfDebt> <repaymentOfDebt>-2106000000</repaymentOfDebt> <freeCashFlow>-1528000000</freeCashFlow> <netInvestmentPropertiesPurchaseAndSale>17000000</netInvestmentPropertiesPurchaseAndSale> <capitalExpenditureReported>7097000000</capitalExpenditureReported> ... </cashFlow> <incomeStatement> <shareClassLevelSharesOutstanding>1009535664</shareClassLevelSharesOutstanding> <totalRevenue>23028000000</totalRevenue> <grossProfit>9405000000</grossProfit> <totalExpenses>23661000000</totalExpenses> <costOfRevenue>13623000000</costOfRevenue> <operatingExpense>10038000000</operatingExpense> <sellingGeneralAndAdministration>3594000000</sellingGeneralAndAdministration> <generalAndAdministrativeExpense>208000000</generalAndAdministrativeExpense> <sellingAndMarketingExpense>3594000000</sellingAndMarketingExpense> <depreciationAmortizationDepletion>4273000000</depreciationAmortizationDepletion> <specialIncomeCharges>-12000000</specialIncomeCharges> <otherTaxes>1504000000</otherTaxes> <otherOperatingExpenses>4940000000</otherOperatingExpenses> <operatingIncome>4319000000</operatingIncome> <netNonOperatingInterestIncomeExpense>-1889000000</netNonOperatingInterestIncomeExpense> <interestExpenseNonOperating>1889000000</interestExpenseNonOperating> <otherIncomeExpense>-2734000000</otherIncomeExpense> <gainOnSaleOfPPE>12000000</gainOnSaleOfPPE> <miscOtherSpecialCharges>2722000000</miscOtherSpecialCharges> <pretaxIncome>2667000000</pretaxIncome> <taxProvision>207000000</taxProvision> <netIncomeCommonStockholders>2460000000</netIncomeCommonStockholders> <netIncome>2460000000</netIncome> <netIncomeContinuousOperations>2460000000</netIncomeContinuousOperations> <preferredStockDividends>-2460000000</preferredStockDividends> <accruedPreferredStockDividends>-2460000000</accruedPreferredStockDividends> <netIncomeFromContinuingAndDiscontinuedOperation>2460000000</netIncomeFromContinuingAndDiscontinuedOperation> <eBIT>4556000000</eBIT> <eBITDA>8152000000</eBITDA> <otherGandA>208000000</otherGandA> <otherunderPreferredStockDividend>-2460000000</otherunderPreferredStockDividend> <sharesOutstanding>1009535664</sharesOutstanding> <basicEPS>2.45</basicEPS> <basicContinuousOperations>2.45</basicContinuousOperations> <dilutedEPS>2.45</dilutedEPS> <dilutedContinuousOperations>2.45</dilutedContinuousOperations> <basicAverageShares>1003000000</basicAverageShares> <dilutedAverageShares>1003000000</dilutedAverageShares> <dividendPerShare>1.52</dividendPerShare> ... </incomeStatement> ... </reports> ... </reports> ... </company> ... </companies> ... </results>
FinancialsBasic_Example_Template_Utility.xml Print
Modified on: Wed, 11 Jun, 2025 at 10:12 AM
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