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Equity
6 Months Ended
Jun. 30, 2021
Equity [Abstract]  
Equity Equity
The Company sold 691,855 shares of common stock through its at-the-market equity program and raised proceeds of $39.0 million net of $0.4 million in commissions paid under the equity distribution agreement during the three months ended June 30, 2021. During the three months ended June 30, 2020, the Company sold 677,318 shares of common stock through its at-the-market equity program and raised proceeds of $31.1 million net of $0.3 million in commissions paid under the equity distribution agreement.
The Company sold 1,120,916 shares of common stock through its at-the-market equity program and raised proceeds of $61.6 million net of $0.6 million in commissions paid under the equity distribution agreement during the six months ended June 30, 2021. During the six months ended June 30, 2020, the Company sold 793,152 shares of common stock through its at-the-market equity program and raised proceeds of $37.1 million net of $0.4 million in commissions paid under the equity distribution agreement.
The Company’s changes in total equity for the six months ended June 30, 2021 and 2020 were as follows:
Six months ended June 30, 2021
 Common StockAdditional
Paid-in
Capital
Retained
Earnings
Noncontrolling InterestsTotal Equity
 SharesAmount
 (In thousands)
Balance at January 1, 202150,334 $503 $448,632 $472,209 $— $921,344 
Net loss(3,032)— (3,032)
Issuance of common stock528 24,481 24,486 
Repurchase of common stock(27)— (1,415)(1,415)
Dividends paid on common stock ($0.2300 per share)
(11,581)— (11,581)
Balance at March 31, 202150,835 508 471,698 457,596 — 929,802 
Loss attributable to noncontrolling interests— (149)(149)
Net income attributable to California Water Service Group38,225 — 38,225 
Issuance of common stock702 40,895 40,902 
Repurchase of common stock(2)— (109)(109)
Dividends paid on common stock ($0.2300 per share)
(11,702)— (11,702)
Acquisition of business with noncontrolling interest
— — 5,294 5,294 
Balance at June 30, 202151,535 515 512,484 484,119 5,145 1,002,263 
Six months ended June 30, 2020
 Common StockAdditional
Paid-in
Capital
Retained
Earnings
Total
Equity
 SharesAmount
 (In thousands)
Balance at January 1, 202048,532 $485 $362,275 $417,146 $779,906 
Net loss(20,307)(20,307)
Issuance of common stock210 7,227 7,229 
Repurchase of common stock(28)— (1,373)(1,373)
Dividends paid on common stock ($0.2125 per share)
(10,315)(10,315)
Balance at March 31, 202048,714 487 368,129 386,524 755,140 
Net income5,281 5,281 
Issuance of common stock686 32,056 32,063 
Repurchase of common stock(2)— (105)(105)
Dividends paid on common stock ($0.2125 per share)
(10,356)(10,356)
Balance at June 30, 202049,398 494 400,080 381,449 782,023