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CONDENSED CONSOLIDATED STATEMENTS OF COMMON SHAREHOLDERS' EQUITY - USD ($)
$ in Thousands
Total
Adoption of New Accounting Standard
Common Shares
Capital Surplus, Paid In
Retained Earnings
Retained Earnings
Adoption of New Accounting Standard
Accumulated Other Comprehensive Income (Loss)
Treasury Stock
The Connecticut Light and Power Company
The Connecticut Light and Power Company
Adoption of New Accounting Standard
The Connecticut Light and Power Company
Common Shares
The Connecticut Light and Power Company
Capital Surplus, Paid In
The Connecticut Light and Power Company
Retained Earnings
The Connecticut Light and Power Company
Retained Earnings
Adoption of New Accounting Standard
The Connecticut Light and Power Company
Accumulated Other Comprehensive Income (Loss)
NSTAR Electric Company
NSTAR Electric Company
Adoption of New Accounting Standard
NSTAR Electric Company
Common Shares
NSTAR Electric Company
Capital Surplus, Paid In
NSTAR Electric Company
Retained Earnings
NSTAR Electric Company
Retained Earnings
Adoption of New Accounting Standard
NSTAR Electric Company
Accumulated Other Comprehensive Income (Loss)
Public Service Company of New Hampshire
Public Service Company of New Hampshire
Adoption of New Accounting Standard
Public Service Company of New Hampshire
Common Shares
Public Service Company of New Hampshire
Capital Surplus, Paid In
Public Service Company of New Hampshire
Retained Earnings
Public Service Company of New Hampshire
Retained Earnings
Adoption of New Accounting Standard
Public Service Company of New Hampshire
Accumulated Other Comprehensive Income (Loss)
Balance (in shares) at Dec. 31, 2019     329,880,645               6,035,205             200             301        
Balance at Dec. 31, 2019 $ 12,629,994 $ (1,514) $ 1,729,292 $ 7,087,768 $ 4,177,048 $ (1,514) $ (65,059) $ (299,055) $ 4,387,825 $ (900) $ 60,352 $ 2,535,765 $ 1,791,392 $ (900) $ 316 $ 4,159,884 $ (161) $ 0 $ 1,813,442 $ 2,346,287 $ (161) $ 155 $ 1,391,733 $ (300) $ 0 $ 903,134 $ 490,306 $ (300) $ (1,707)
Increase (Decrease) in Stockholders' Equity [Roll Forward]                                                          
Net Income 336,633       336,633       118,738       118,738     100,390       100,390     39,601       39,601    
Dividends on Preferred Stock (1,880)       (1,880)       (1,390)       (1,390)     (490)       (490)                  
Dividends on Common Stock (187,462)       (187,462)       (69,500)       (69,500)     (196,500)       (196,500)     (22,300)       (22,300)    
Issuance of Common Shares (in shares)     5,960,000                                                    
Issuance of Common Shares 432,100   $ 29,800 402,300                                                  
Long-Term Incentive Plan Activity (15,295)     (15,295)                                                  
Issuance of Treasury Shares (in shares)     570,542                                                    
Issuance of Treasury Shares 27,746     17,230       10,516                                          
Capital Stock Expense (12,314)     (12,314)                                                  
Other Comprehensive Income (Loss) 1,948           1,948   (1)           (1) 67           67 278           278
Balance (in shares) at Mar. 31, 2020     336,411,187               6,035,205             200             301        
Balance at Mar. 31, 2020 13,209,956   $ 1,759,092 7,479,689 4,322,825   (63,111) (288,539) 4,434,772   $ 60,352 2,535,765 1,838,340   315 4,063,190   $ 0 1,813,442 2,249,526   222 1,409,012   $ 0 903,134 507,307   (1,429)
Balance (in shares) at Dec. 31, 2019     329,880,645               6,035,205             200             301        
Balance at Dec. 31, 2019 12,629,994 $ (1,514) $ 1,729,292 7,087,768 4,177,048 $ (1,514) (65,059) (299,055) 4,387,825 $ (900) $ 60,352 2,535,765 1,791,392 $ (900) 316 4,159,884 $ (161) $ 0 1,813,442 2,346,287 $ (161) 155 1,391,733 $ (300) $ 0 903,134 490,306 $ (300) (1,707)
Increase (Decrease) in Stockholders' Equity [Roll Forward]                                                          
Net Income 590,743               236,009             197,857             71,233            
Dividends on Preferred Stock (3,800)                                                        
Other Comprehensive Income (Loss) 2,501               2             135             563            
Balance (in shares) at Jun. 30, 2020     342,627,862               6,035,205             200             301        
Balance at Jun. 30, 2020 13,805,258   $ 1,789,092 7,979,146 4,384,093   (62,558) (284,515) 4,550,656   $ 60,352 2,535,765 1,954,221   318 4,160,236   $ 0 1,813,442 2,346,504   290 1,440,929   $ 0 903,134 538,939   (1,144)
Balance (in shares) at Mar. 31, 2020     336,411,187               6,035,205             200             301        
Balance at Mar. 31, 2020 13,209,956   $ 1,759,092 7,479,689 4,322,825   (63,111) (288,539) 4,434,772   $ 60,352 2,535,765 1,838,340   315 4,063,190   $ 0 1,813,442 2,249,526   222 1,409,012   $ 0 903,134 507,307   (1,429)
Increase (Decrease) in Stockholders' Equity [Roll Forward]                                                          
Net Income 254,112       254,112       117,271       117,271     97,468       97,468     31,632       31,632    
Dividends on Preferred Stock (1,880)       (1,880)       (1,390)       (1,390)     (490)       (490)                  
Dividends on Common Stock (190,964)       (190,964)                                                
Issuance of Common Shares (in shares)     6,000,000                                                    
Issuance of Common Shares 517,560   $ 30,000 487,560                                                  
Long-Term Incentive Plan Activity 7,694     7,694                                                  
Issuance of Treasury Shares (in shares)     216,675                                                    
Issuance of Treasury Shares 16,548     12,524       4,024                                          
Capital Stock Expense (8,321)     (8,321)                                                  
Other Comprehensive Income (Loss) 553           553   3           3 68           68 285           285
Balance (in shares) at Jun. 30, 2020     342,627,862               6,035,205             200             301        
Balance at Jun. 30, 2020 $ 13,805,258   $ 1,789,092 7,979,146 4,384,093   (62,558) (284,515) 4,550,656   $ 60,352 2,535,765 1,954,221   318 4,160,236   $ 0 1,813,442 2,346,504   290 1,440,929   $ 0 903,134 538,939   (1,144)
Balance (in shares) at Dec. 31, 2020 342,954,023   342,954,023               6,035,205             200             301        
Balance at Dec. 31, 2020 $ 14,063,566   $ 1,789,092 8,015,663 4,613,201   (76,411) (277,979) 5,044,786   $ 60,352 2,810,765 2,173,367   302 4,521,418   $ 0 1,993,942 2,527,167   309 1,542,539   $ 0 928,134 615,018   (613)
Increase (Decrease) in Stockholders' Equity [Roll Forward]                                                          
Net Income 368,023       368,023       98,398       98,398     93,924       93,924     44,676       44,676    
Dividends on Preferred Stock (1,880)       (1,880)       (1,390)       (1,390)     (490)       (490)                  
Dividends on Common Stock (206,913)       (206,913)       (70,100)       (70,100)     (206,400)       (206,400)     (25,200)       (25,200)    
Long-Term Incentive Plan Activity (15,727)     (15,727)                                                  
Issuance of Treasury Shares (in shares)     480,275                                                    
Issuance of Treasury Shares 25,163     16,182       8,981                                          
Other Comprehensive Income (Loss) 1,188           1,188   (32)           (32) 61           61 255           255
Balance (in shares) at Mar. 31, 2021     343,434,298               6,035,205             200             301        
Balance at Mar. 31, 2021 $ 14,233,420   $ 1,789,092 8,016,118 4,772,431   (75,223) (268,998) 5,071,662   $ 60,352 2,810,765 2,200,275   270 4,408,513   $ 0 1,993,942 2,414,201   370 1,562,270   $ 0 928,134 634,494   (358)
Balance (in shares) at Dec. 31, 2020 342,954,023   342,954,023               6,035,205             200             301        
Balance at Dec. 31, 2020 $ 14,063,566   $ 1,789,092 8,015,663 4,613,201   (76,411) (277,979) 5,044,786   $ 60,352 2,810,765 2,173,367   302 4,521,418   $ 0 1,993,942 2,527,167   309 1,542,539   $ 0 928,134 615,018   (613)
Increase (Decrease) in Stockholders' Equity [Roll Forward]                                                          
Net Income 634,422               213,955             204,836             79,309            
Dividends on Preferred Stock (3,800)                                                        
Other Comprehensive Income (Loss) $ 2,069               (29)             202             537            
Balance (in shares) at Jun. 30, 2021 343,601,103   343,601,103               6,035,205             200             301        
Balance at Jun. 30, 2021 $ 14,311,889   $ 1,789,092 8,032,959 4,830,058   (74,342) (265,878) 5,115,731   $ 60,352 2,810,765 2,244,341   273 4,502,276   $ 0 2,053,942 2,447,823   511 1,571,985   $ 0 1,088,134 483,927   (76)
Balance (in shares) at Mar. 31, 2021     343,434,298               6,035,205             200             301        
Balance at Mar. 31, 2021 14,233,420   $ 1,789,092 8,016,118 4,772,431   (75,223) (268,998) 5,071,662   $ 60,352 2,810,765 2,200,275   270 4,408,513   $ 0 1,993,942 2,414,201   370 1,562,270   $ 0 928,134 634,494   (358)
Increase (Decrease) in Stockholders' Equity [Roll Forward]                                                          
Net Income 266,400       266,400       115,556       115,556     110,912       110,912     34,633       34,633    
Dividends on Preferred Stock (1,880)       (1,880)       (1,390)       (1,390)     (490)       (490)                  
Dividends on Common Stock (206,893)       (206,893)       (70,100)       (70,100)     (76,800)       (76,800)     (185,200)       (185,200)    
Capital Contributions from Eversource Parent                               60,000     60,000       160,000     160,000      
Long-Term Incentive Plan Activity 6,162     6,162                                                  
Issuance of Treasury Shares (in shares)     166,805                                                    
Issuance of Treasury Shares 13,799     10,679       3,120                                          
Other Comprehensive Income (Loss) $ 881           881   3           3 141           141 282           282
Balance (in shares) at Jun. 30, 2021 343,601,103   343,601,103               6,035,205             200             301        
Balance at Jun. 30, 2021 $ 14,311,889   $ 1,789,092 $ 8,032,959 $ 4,830,058   $ (74,342) $ (265,878) $ 5,115,731   $ 60,352 $ 2,810,765 $ 2,244,341   $ 273 $ 4,502,276   $ 0 $ 2,053,942 $ 2,447,823   $ 511 $ 1,571,985   $ 0 $ 1,088,134 $ 483,927   $ (76)