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55
NORTHEAST UTILITIES AND SUBSIDIARIES
CONSOLIDATED STATEMENTS OF COMMON SHAREHOLDERS'EQUITY
Accumulated Total
Capital Other Common
Common Shares Surplus, Retained Comprehensive Treasury Shareholders'
(Thousands of Dollars, Except Share Information) Shares Amount Paid In Earnings Income/(Loss) Stock Equity
Balance as of January 1, 2012 177,158,692 $ 980,264 $ 1,797,884 $ 1,651,875 $ (70,686) $ (346,667) $ 4,012,670
Net Income
533,077 533,077
Shares Issued in Connection with NSTAR Merger 136,048,595 680,243 4,358,027 5,038,270
Other Equity Impacts of Merger with NSTAR 2,938 421 3,359
Dividends on Common Shares -$1.32 Per Share (375,527) (375,527)
Dividends on Preferred Stock (7,029) (7,029)
Issuance of Common Shares, $5 Par Value 408,018 2,040 11,287 13,327
Long-Term Incentive Plan Activity (3,897) (3,897)
Issuance of Treasury Shares to Fund ESOP 438,329 8,454 8,043 16,497
Other Changes in Shareholders'Equity 8,574 8,574
Net Income Attributable to Noncontrolling Interests
(103) (103)
Other Comprehensive Loss (2,168) (2,168)
Balance as of December 31, 2012 314,053,634 1,662,547 6,183,267 1,802,714 (72,854) (338,624) 9,237,050
Net Income
793,689 793,689
Dividends on Common Shares -$1.47 Per Share (462,741) (462,741)
Dividends on Preferred Stock (7,682) (7,682)
Issuance of Common Shares, $5 Par Value 560,848 2,804 8,274 11,078
Long-Term Incentive Plan Activity (10,748) (10,748)
Issuance of Treasury Shares 659,077 17,381 12,087 29,468
Other Changes in Shareholders'Equity (5,409) (5,409)
Other Comprehensive Income 26,823 26,823
Balance as of December 31, 2013 315,273,559 1,665,351 6,192,765 2,125,980 (46,031) (326,537) 9,611,528
Net Income
827,065 827,065
Dividends on Common Shares -$1.57 Per Share (496,524) (496,524)
Dividends on Preferred Stock (7,519) (7,519)
Issuance of Common Shares, $5 Par Value 288,941 1,445 5,164 6,609
Long-Term Incentive Plan Activity (9,569) (9,569)
Issuance of Treasury Shares 1,420,837 37,817 26,070 63,887
Other Changes in Shareholders'Equity 9,657 (341) 9,316
Other Comprehensive Loss (27,978) (27,978)
Balance as of December 31, 2014 316,983,337 $ 1,666,796 $ 6,235,834 $ 2,448,661 $ (74,009) $ (300,467) $ 9,976,815
The accompanying notes are an integral part of these consolidated financial statements.