05/07/2026 | Press release | Distributed by Public on 05/07/2026 14:14
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Price to Public(1)
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Underwriting
Discount |
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Proceeds to ComEd
Before Expenses(1) |
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Per Series 139 bond
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Total for Series 139 bonds
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| | | $ | | | | | $ | | | | | $ | | | |||
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Per Series 140 bond
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Total for Series 140 bonds
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| | | $ | | | | | $ | | | | | $ | | | | ||
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BNY Capital Markets
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Huntington Capital Markets
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Siebert Williams Shank
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Page
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ABOUT THIS PROSPECTUS SUPPLEMENT
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FORWARD-LOOKING STATEMENTS
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| | | | S-3 | | |
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COMMONWEALTH EDISON COMPANY
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SUMMARY FINANCIAL INFORMATION
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RISK FACTORS
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USE OF PROCEEDS
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CAPITALIZATION
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| | | | S-9 | | |
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DESCRIPTION OF THE BONDS
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MATERIAL UNITED STATES FEDERAL INCOME TAX CONSEQUENCES
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| | | | S-16 | | |
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UNDERWRITING
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| | | | S-21 | | |
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LEGAL MATTERS
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| | | | S-27 | | |
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EXPERTS
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| | | | S-27 | | |
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WHERE YOU CAN FIND MORE INFORMATION
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| | | | S-27 | | |
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DOCUMENTS INCORPORATED BY REFERENCE
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| | | | S-27 | | |
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Page
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ABOUT THIS PROSPECTUS
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| | | | 1 | | |
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FORWARD-LOOKING STATEMENTS
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| | | | 2 | | |
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RISK FACTORS
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| | | | 4 | | |
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EXELON CORPORATION
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| | | | 4 | | |
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COMMONWEALTH EDISON COMPANY
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| | | | 4 | | |
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USE OF PROCEEDS
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| | | | 4 | | |
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DESCRIPTION OF SECURITIES
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| | | | 5 | | |
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PLAN OF DISTRIBUTION
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| | | | 21 | | |
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LEGAL MATTERS
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| | | | 23 | | |
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EXPERTS
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WHERE YOU CAN FIND MORE INFORMATION
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DOCUMENTS INCORPORATED BY REFERENCE
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| | | | 24 | | |
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Year Ended December 31,
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Three Months Ended
March 31, |
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2025
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2024
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2023
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2026
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2025
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($ in millions)
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($ in millions, unaudited)
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| Income Statement Data | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
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Operating revenues
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| | | $ | 7,267 | | | | | $ | 8,219 | | | | | $ | 7,844 | | | | | $ | 1,913 | | | | | $ | 2,065 | | |
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Operating income
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| | | | 1,806 | | | | | | 1,589 | | | | | | 1,806 | | | | | | 515 | | | | | | 474 | | |
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Net income
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| | | | 1,147 | | | | | | 1,066 | | | | | | 1,090 | | | | | | 310 | | | | | | 302 | | |
| Cash Flow Data | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
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Capital expenditures(a)
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| | | | (2,899) | | | | | | (2,195) | | | | | | (2,576) | | | | | | (885) | | | | | | (590) | | |
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Net cash flows provided by operating activities
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| | | | 2,665 | | | | | | 2,713 | | | | | | 1,848 | | | | | | 744 | | | | | | 359 | | |
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Net cash flows used in investing activities
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| | | | (2,893) | | | | | | (2,188) | | | | | | (2,568) | | | | | | (885) | | | | | | (589) | | |
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Net cash flows provided by (used in) financing activities
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| | | | 259 | | | | | | (579) | | | | | | 895 | | | | | | 84 | | | | | | 195 | | |
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As of December 31,
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As of
March 31, 2026 |
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2025
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2024
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2023
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($ in millions)
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($ in millions,
unaudited) |
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| Balance Sheet Data | | | | | | | | | | | | | | | | | | | | | | | | | |
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Property, plant and equipment, net
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| | | $ | 32,255 | | | | | $ | 30,211 | | | | | $ | 29,088 | | | | | $ | 32,738 | | |
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Regulatory assets, including current portion
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| | | | 3,282 | | | | | | 3,721 | | | | | | 4,129 | | | | | | 3,437 | | |
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Goodwill
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| | | | 2,625 | | | | | | 2,625 | | | | | | 2,625 | | | | | | 2,625 | | |
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Total assets
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| | | | 48,285 | | | | | | 44,750 | | | | | | 42,827 | | | | | | 48,478 | | |
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Regulatory liabilities, including current portion
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| | | | 10,009 | | | | | | 8,618 | | | | | | 7,684 | | | | | | 9,871 | | |
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Long-term debt, including debt due within one year(b)
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| | | | 12,753 | | | | | | 12,030 | | | | | | 11,486 | | | | | | 12,755 | | |
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Long-term debt to financing trust
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| | | | 206 | | | | | | 206 | | | | | | 205 | | | | | | 206 | | |
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Total liabilities
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| | | | 32,680 | | | | | | 29,870 | | | | | | 28,464 | | | | | | 32,525 | | |
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Total shareholders' equity
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| | | | 15,605 | | | | | | 14,880 | | | | | | 14,363 | | | | | | 15,953 | | |
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As of March 31, 2026
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Actual
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As Adjusted
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($ in millions)
(unaudited) |
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| Long-term debt: | | | | | | | | | | | | | |
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Long-term debt, including debt due within one year(a)
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| | | | 12,755 | | | | | | | | |
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Long-term debt to financing trust
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| | | | 206 | | | | | | 206 | | |
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Total shareholders' equity
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| | | | 15,953 | | | | | | | | |
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Total capitalization
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| | | $ | 28,914 | | | | | $ | | | |
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Underwriter
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Principal Amount of
Series 139 Bonds |
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Principal Amount of
Series 140 Bonds |
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BofA Securities, Inc.
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| | | $ | | | | | $ | | | ||
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Citigroup Global Markets Inc.
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Loop Capital Markets LLC
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RBC Capital Markets, LLC
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U.S. Bancorp Investments, Inc.
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Credit Agricole Securities (USA) Inc.
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MUFG Securities Americas Inc.
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PNC Capital Markets LLC
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SMBC Nikko Securities America, Inc.
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BNY Mellon Capital Markets, LLC
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Huntington Securities, Inc.
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Siebert Williams Shank & Co., LLC
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Total
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| | | $ | | | | | $ | | | | |
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Page
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| |||
|
ABOUT THIS PROSPECTUS
|
| | | | 1 | | |
|
FORWARD-LOOKING STATEMENTS
|
| | | | 2 | | |
|
RISK FACTORS
|
| | | | 4 | | |
|
EXELON CORPORATION
|
| | | | 4 | | |
|
COMMONWEALTH EDISON COMPANY
|
| | | | 4 | | |
|
USE OF PROCEEDS
|
| | | | 4 | | |
|
DESCRIPTION OF SECURITIES
|
| | | | 5 | | |
|
PLAN OF DISTRIBUTION
|
| | | | 21 | | |
|
LEGAL MATTERS
|
| | | | 23 | | |
|
EXPERTS
|
| | | | 23 | | |
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WHERE YOU CAN FIND MORE INFORMATION
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| | | | 23 | | |
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DOCUMENTS INCORPORATED BY REFERENCE
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| | | | 24 | | |
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Renewal Fund Requirement
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Year
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Amount
(in millions) |
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Year
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Amount
(in millions) |
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Year
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Amount
(in millions) |
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1989
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| | | $ | 140.7 | | | | | | 1994 | | | | | $ | 193.6 | | | | | | 2004 | | | | | $ | 270.7 | | |
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1990
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| | | | 1.0 | | | | | | 1995 | | | | | | 15.0* | | | | | | | | | | | | | | |
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1993
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| | | | 50.9 | | | | | | 1996 | | | | | | 139.9* | | | | | | | | | | | | | | |