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D — Dominion Energy, Inc Common Stock

NYSE

Dominion Energy, Inc Common Stock

CompareBack to Screener
$61.31
+0.55(+0.91%)
O
61.03
H
61.86
L
61.03
V
3.7M
⏱️ End-of-day dataAs of Oct 2, 2026

D — 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 Equivalents351,000.00250,000.00932,000.00344,000.00355,000.00310,000.00
Accounts Receivable$2.39M$2.53M$2.29M$2.29MN/AN/A
Other Receivables486,000.00446,000.00253,000.00275,000.00N/AN/A
Inventory$1.94M$1.96M$1.89M$1.83MN/AN/A
Prepaid Assets641,000.00377,000.00802,000.00N/AN/AN/A
Assets Held For Sale686,000.00N/AN/AN/AN/AN/A
Other Current Assets$2.07M$1.56M$1.77M$1.89MN/AN/A
Total Current Assets$9.00M$8.07M$8.22M$6.96MN/AN/A
Accumulated Depreciation$-27.72M$-27.35M$-27.27M$-26.78MN/AN/A
Goodwill$8.29M$9.97M$9.74M$8.29MN/AN/A
Investments And Advances$9.47M$9.68M$9.46M$8.94MN/AN/A
Other Non Current Assets$6.74M$1.76M$4.04M$5.55MN/AN/A
Total Non Current Assets$109.58M$107.79M$103.38M$100.48MN/AN/A
Total Assets$118.58M$115.86M$111.60M$107.44MN/AN/A
Accounts Payable$1.17M$1.34M$1.01M$1.01MN/AN/A
Accrued Expenses986,000.00$1.24M$1.21M956,000.00N/AN/A
Short Term Debt$6.66M$4.87M$5.26M$6.07MN/AN/A
Other Current Liabilities$2.77M$3.00M$2.26M$2.41MN/AN/A
Total Current Liabilities$11.57M$10.44M$9.73M$10.45MN/AN/A
Long Term Debt$45.11M$44.08M$43.29M$40.29MN/AN/A
Deferred Liabilities$9.71M$9.48M$9.12M$8.50MN/AN/A
Other Non Current Liabilities$9.49M$2.04M$8.76M$8.62MN/AN/A
Total Non Current Liabilities$73.30M$72.00M$70.14M$66.12MN/AN/A
Total Liabilities$84.87M$82.44M$79.87M$76.57MN/AN/A
Common Stock$25.93M$25.89M$24.51M$24.46MN/AN/A
Retained Earnings$2.34M$2.32M$2.33M$1.91MN/AN/A
Other Shareholders Equity-116,000.00-118,000.00-139,000.00-145,000.00N/AN/A
Total Shareholders Equity$33.71M$33.42M$31.73M$30.87MN/AN/A
Minority Interest$4.56M$4.33M$4.04M$3.66MN/AN/A
Restricted CashN/A181,000.00N/AN/AN/AN/A
Hedging AssetsN/A335,000.00286,000.00332,000.00N/AN/A
PropertiesN/A$4.64MN/AN/AN/AN/A
Construction In ProgressN/A$22.31MN/AN/AN/AN/A
Financial AssetsN/A623,000.00464,000.00414,000.00N/AN/A
Intangible AssetsN/A$1.68M$1.46MN/AN/AN/A
Long Term ProvisionsN/A$7.20MN/AN/AN/AN/A
Derivative Product LiabilitiesN/A134,000.00198,000.00118,000.00N/AN/A