MARKET IS CLOSED
Loading latest tickers...

Market Indices

S&P 500
$7,722.72
+0.73%
NASDAQ 100
$30,807.93
+1.00%
DOW JONES
$51,177.00
+0.49%
NASDAQ Composite
$27,190.86
+1.19%
RUSSELL 2000
$2,815.20
+0.90%
CBOE VIX
$15.31
-6.59%

Sector Heatmap

Technology+1.01%
Financials+0.06%
Healthcare-0.01%
Consumer Cycl+1.13%
Consumer Staples+0.25%
Energy+0.40%
Industrials+0.78%
Materials+0.66%
Real Estate+0.32%
Utilities+0.38%
Comm Services+0.35%

CWEN — Clearway Energy, Inc. Class C Common Stock

NYSE

Clearway Energy, Inc. Class C Common Stock

CompareBack to Screener
$29.34
+0.20(+0.69%)
O
29.55
H
29.84
L
29.30
V
964.78K
⏱️ End-of-day dataAs of Oct 2, 2026

CWEN — Financial Statements

Historical 2-Year Statements
Financial Metric / Line ItemQ1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024
Fiscal Date2026-03-312025-12-312025-09-302025-06-302025-03-312024-12-31
Periodquarterlyquarterlyquarterlyquarterlyquarterlyquarterly
Year2,026.002,025.002,025.002,025.002,025.002,024.00
Cash And Cash Equivalents325,000.00231,000.00251,000.00260,000.00297,000.00332,000.00
Accounts Receivable198,000.00162,000.00238,000.00232,000.00183,000.00164,000.00
Inventory87,000.0075,000.0071,000.0070,000.0067,000.0064,000.00
Restricted Cash355,000.00587,000.00390,000.00526,000.00414,000.00401,000.00
Hedging Assets32,000.0029,000.0022,000.0025,000.0024,000.0039,000.00
Other Current Assets60,000.0067,000.0087,000.0073,000.0054,000.0067,000.00
Total Current Assets$1.06M$1.15M$1.06M$1.19M$1.04M$1.07M
Properties$12.59M$16.45M$12.01M$11.99M$15.14M$14.39M
Goodwill$2.44M$2.36M$2.41M$2.28M$2.15M$2.19M
Financial Assets130,000.00127,000.00113,000.00109,000.00113,000.00136,000.00
Intangible Assets$2.44M$2.36M$2.41M$2.28M$2.15M$2.19M
Investments And Advances362,000.00291,000.00301,000.00297,000.00300,000.00309,000.00
Other Non Current Assets351,000.00415,000.00178,000.00169,000.00143,000.00133,000.00
Total Non Current Assets$15.87M$15.50M$15.01M$14.85M$13.61M$13.26M
Total Assets$16.93M$16.66M$16.07M$16.03M$14.65M$14.33M
Accounts Payable197,000.00127,000.00182,000.00200,000.00126,000.00113,000.00
Accrued Expenses112,000.00131,000.00108,000.00112,000.0093,000.00119,000.00
Short Term Debt612,000.00708,000.00342,000.00460,000.00392,000.00430,000.00
Other Current Liabilities34,000.0052,000.0055,000.0062,000.0073,000.0056,000.00
Total Current Liabilities955,000.00$1.02M687,000.00834,000.00684,000.00718,000.00
Long Term Debt$9.33M$8.69M$8.88M$8.89M$7.83M$7.32M
Deferred Liabilities155,000.0045,000.0021,000.0042,000.0068,000.0089,000.00
Derivative Product Liabilities169,000.00308,000.00319,000.00324,000.00314,000.00315,000.00
Other Non Current Liabilities754,000.00676,000.00374,000.00367,000.00337,000.00325,000.00
Total Non Current Liabilities$10.41M$9.72M$9.59M$9.62M$8.54M$8.05M
Total Liabilities$11.36M$10.74M$10.28M$10.45M$9.23M$8.77M
Common Stock1,000.001,000.001,000.001,000.000.000.00
Retained Earnings-6,000.00213,000.00372,000.00188,000.00207,000.00254,000.00
Other Shareholders Equity0.00-5,000.00-13,000.00-10,000.000.003,000.00
Total Shareholders Equity$5.57M$5.91M$5.79M$5.58M$5.42M$5.56M
Additional Paid In Capital$1.77M$1.72M$1.69M$1.67M$1.74M$1.80M
Minority Interest$3.81M$3.99M$3.74M$3.73M$3.48M$3.50M
Construction In ProgressN/A530,000.00N/AN/AN/A191,000.00
Accumulated DepreciationN/A$-4.67MN/AN/A$-4.24M$-4.09M