Alliant Energy Corporation reported Q2 2025 revenue of $961 million with a gross profit of $254 million and operating income of $223 million. Net income totaled $174 million, or about $0.68 per share, reflecting a year-over-year improvement of roughly 100% but a quarter-over-quarter decline of ~18%. EBITDA stood at $463 million, underscoring solid core operating performance within a regulated utility framework. Management highlighted stable load growth supported by regulated rate base, ongoing grid modernization initiatives, and disciplined capital allocation alongside a sizable debt burden that remains a focal point for financing and regulatory scrutiny. Cash flow from operations was robust at $243 million, contributing to free cash flow of $243 million and a year-to-date dividend outlay of $131 million. On the balance sheet, total assets reached $23.75 billion with total liabilities of $16.61 billion and total equity of $7.15 billion; net debt stood at approximately $10.98 billion. Liquidity metrics show a modest liquidity profile with current assets of $1.474 billion against current liabilities of $2.579 billion, implying a current ratio near 0.57. The quarter’s mix suggests that earnings quality remains anchored by regulated activities, though leverage and financing costs warrant close attention in the near term.
Key Performance Indicators
Revenue
Increasing
961.00M
QoQ: -14.80% | YoY: 7.49%
Gross Profit
Decreasing
254.00M
26.43% margin
QoQ: -49.00% | YoY: -26.80%
Operating Income
Increasing
223.00M
QoQ: -13.23% | YoY: 71.54%
Net Income
Increasing
174.00M
QoQ: -18.31% | YoY: 100.00%
EPS
Increasing
0.68
QoQ: -18.07% | YoY: 100.00%
Revenue Trend
Margin Analysis
Financial Highlights
Revenue: $961.0 million (YoY +7.49%, QoQ -14.80%). Gross Profit: $254.0 million (YoY -26.80%, QoQ -49.00%). Operating Income: $223.0 million (YoY +71.54%, QoQ -13.23%). Net Income: $174.0 million (YoY +100.00%, QoQ -18.31%). EPS: $0.68 (YoY +100.00%, QoQ -18.07%). EBITDA: $463.0 million (EBITDA Margin ~48.18%). Net Margin: ~13.63% (as reported in ratios). Operating Margin: ~23.20%. Cash flow from operations: $243.0 million; Free cash flow: $243.0 million. Dividends paid: $131.0 million. Net debt: $10.978 billion; Total debt: $11.307 billion. Cash and cash equivalents: $329.0 million. Current assets: $1.474 billion; Current liabilities: $2.579 billion; Quick ratio ~0.33. D&A: $208.0 million; Interest expense: $124.0 million.
Income Statement
Metric
Value
YoY Change
QoQ Change
Revenue
961.00M
7.49%
-14.80%
Gross Profit
254.00M
-26.80%
-49.00%
Operating Income
223.00M
71.54%
-13.23%
Net Income
174.00M
100.00%
-18.31%
EPS
0.68
100.00%
-18.07%
Key Financial Ratios
Management Insights Available for Members
Get exclusive access to management commentary, earnings call quotes, and forward guidance from company leadership.