
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 | FY2019 | FY2018 | FY2017 |
|---|---|---|---|---|---|---|---|---|---|
| Total operating revenues | $1.43B+4.2% | $1.37B+4.3% | $1.31B+10.4% | $1.19B-7.5% | $1.29B+7.3% | $1.20B+16.2% | $1.03B-2.0% | $1.05B+4.4% | $1.01B |
| Cost of operations, exclusive of depreciation, amortization and accretion shown separately below | $530.0M+5.8% | $501.0M+5.9% | $473.0M+8.7% | $435.0M-3.5% | $451.0M+23.2% | $366.0M+8.6% | $337.0M | — | — |
| Depreciation, amortization and accretion | $682.0M+8.8% | $627.0M+19.2% | $526.0M+2.7% | $512.0M+0.6% | $509.0M+18.9% | $428.0M+6.7% | $401.0M+19.3% | $336.0M+0.6% | $334.0M |
| Impairment losses | $0 | $0-100.0% | $12.0M-25.0% | $16.0M+166.7% | $6.0M-75.0% | $24.0M-27.3% | $33.0M | $0-100.0% | $44.0M |
| General and administrative | $41.0M+5.1% | $39.0M+8.3% | $36.0M-10.0% | $40.0M+0.0% | $40.0M+17.6% | $34.0M+17.2% | $29.0M+45.0% | $20.0M+5.3% | $19.0M |
| Transaction and integration costs | $16.0M+100.0% | $8.0M+100.0% | $4.0M-42.9% | $7.0M+0.0% | $7.0M-22.2% | $9.0M+200.0% | $3.0M-85.0% | $20.0M+566.7% | $3.0M |
| Total operating costs and expenses | $1.27B+8.0% | $1.18B+11.8% | $1.05B+3.9% | $1.01B-0.7% | $1.02B+17.7% | $866.0M+7.2% | $808.0M+14.4% | $706.0M-2.8% | $726.0M |
| Operating Income | $160.0M-18.4% | $196.0M-25.5% | $263.0M-82.1% | $1.47B+450.6% | $267.0M-19.8% | $333.0M+48.7% | $224.0M-35.4% | $347.0M+22.6% | $283.0M |
| Equity in earnings of unconsolidated affiliates | $31.0M-11.4% | $35.0M+191.7% | $12.0M-58.6% | $29.0M-9.4% | $32.0M+357.1% | $7.0M-91.6% | $83.0M+12.2% | $74.0M+4.2% | $71.0M |
| Other income, net | $29.0M-39.6% | $48.0M-7.7% | $52.0M+205.9% | $17.0M+466.7% | $3.0M-25.0% | $4.0M-55.6% | $9.0M+12.5% | $8.0M+100.0% | $4.0M |
| Loss on debt extinguishment | -$8.0M-60.0% | -$5.0M+16.7% | -$6.0M-200.0% | -$2.0M+96.2% | -$53.0M-120.8% | -$24.0M-50.0% | -$16.0M-128.6% | -$7.0M-133.3% | -$3.0M |
| Interest expense | -$387.0M-26.1% | -$307.0M+8.9% | -$337.0M-45.3% | -$232.0M+25.6% | -$312.0M+24.8% | -$415.0M-2.7% | -$404.0M-32.0% | -$306.0M+0.3% | -$307.0M |
| Total other expense, net | -$335.0M-46.3% | -$229.0M+17.9% | -$279.0M-48.4% | -$188.0M+43.0% | -$330.0M+14.7% | -$387.0M-18.0% | -$328.0M-42.0% | -$231.0M+1.7% | -$235.0M |
| Loss Before Income Taxes | -$175.0M-430.3% | -$33.0M-106.3% | -$16.0M-101.2% | $1.28B+2134.9% | -$63.0M-16.7% | -$54.0M+48.1% | -$104.0M-189.7% | $116.0M+141.7% | $48.0M |
| Income tax expense (benefit) | $56.0M+86.7% | $30.0M+1600.0% | -$2.0M-100.9% | $222.0M+1750.0% | $12.0M+50.0% | $8.0M+200.0% | -$8.0M-112.9% | $62.0M-13.9% | $72.0M |
| Net Loss | -$231.0M-266.7% | -$63.0M-350.0% | -$14.0M-101.3% | $1.06B+1513.3% | -$75.0M-21.0% | -$62.0M+35.4% | -$96.0M-277.8% | $54.0M+325.0% | -$24.0M |
| Less: Net loss attributable to noncontrolling interests and redeemable noncontrolling interests | -$400.0M-164.9% | -$151.0M-62.4% | -$93.0M-119.5% | $478.0M+479.4% | -$126.0M-44.8% | -$87.0M-2.4% | -$85.0M-4350.0% | $2.0M+113.3% | -$15.0M |
| Net income attributable to Clearway Energy, Inc. | $120.0M+93.5% | $62.0M+10.7% | $56.0M-86.3% | $410.0M+703.9% | $51.0M+104.0% | $25.0M+327.3% | -$11.0M-122.9% | $48.0M+400.0% | -$16.0M |
| Weighted average number of common shares outstanding - diluted (in shares) | 84.0M+1.2% | 83.0M+1.2% | 82.0M+0.0% | 82.0M+0.0% | 82.0M+1.2% | 81.0M+9.5% | 74.0M+7.2% | 69.0M | — |
| Common Class A | |||||||||
| Weighted average number of shares outstanding - basic (in shares) | 84.0M+1.2% | 83.0M+1.2% | 82.0M+0.0% | 82.0M+0.0% | 82.0M+2.5% | 80.0M | — | — | — |
| Earnings per weighted average common share - basic (in dollars per share) | $1430000.00+90.7% | $750000.00+11.9% | $670000.00-86.6% | $4990000.00+1034.1% | $440000.00+100.0% | $220000.00 | — | — | — |
| Earnings per weighted average common share - diluted (in dollars per share) | $1430000.00+90.7% | $750000.00+11.9% | $670000.00-86.6% | $4990000.00+1034.1% | $440000.00+100.0% | $220000.00 | — | — | — |
| Dividends per common share (in usd per share) | $1770000.00+7.3% | $1650000.00+7.1% | $1540000.00+7.7% | $1430000.00+7.5% | $1330000.00+26.7% | $1050000.00+31.3% | $800000.00-36.4% | $1258000.00+14.6% | $1098000.00 |
| Common Class C | |||||||||
Source: SEC EDGAR XBRL. % change vs prior period shown where available.
Source: SEC EDGAR 10-K and 10-Q filings. Up to 10 years annual / 16 quarters shown.