NEWEN NATIONAL GRID PLC

NEUTRAL Impact: 4/10 20-F
Horizon weeks Filed Jun 3, 2026 Processed 11d 22h ago SEC 0001004315-26-000006
Notable filing: 20-F
Latest settled — T+1d ⚠ clustered
NEWEN ▲ 0.00% at T+1d
NEUTRAL call ✗ call lost 0.00% · α vs SPY -0.40% · entry $112.00 → $112.00
Next anchor: T+5d due 5d ago
Last close $115.00 (close Jun 12) · +2.68% from $112.00 entry
Entry anchored
Jun 3, 2026
via day open
T+1d
0.00%
call 0.00% · α -0.40%
$112.00
settled 11d ago
T+5d
call — · α —
due 5d ago
T+20d
call — · α —
in 17d
T+60d
call — · α —
in 2mo

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Executive Summary

National Grid's annual 20-F filing for FY2026 reports strong underlying performance: underlying EPS up 6% to 78.0p, statutory operating profit up 10% to £5,431m, and capital investment up 18% to £11.58bn. The company reaffirmed its five-year framework targeting at least £70bn in capital investment and 8-10% underlying EPS CAGR. The results are consistent with the preliminary earnings released on 14 May 2026, so the filing confirms previously disclosed information without material new developments.

Actionable Insight

The 20-F confirms already-released results, so no immediate trading catalyst. Monitor execution against the £70bn five-year capital plan, upcoming regulatory decisions (UK RIIO-ED3, US rate cases), and the pace of asset growth. The FERC order headwind in New England bears watching for further developments.

Key Facts

  • Underlying EPS for FY2026 was 78.0p, up 6% YoY from 73.3p.
  • Statutory operating profit increased 10% to £5,431 million.
  • Capital investment rose 18% to £11,576 million, driving asset growth of 10.9%.
  • Full-year dividend per share increased 3.8% to 48.49p, in line with CPIH inflation.
  • Five-year financial framework targets at least £70bn capital investment and 8-10% underlying EPS CAGR through 2030/31.
  • Divestment of National Grid Renewables and Grain LNG completed during the year for combined net cash proceeds of ~£2.8bn.
  • New England segment faced a headwind from a FERC order on transmission owner ROEs, impacting underlying operating profit by 6% (-1% at constant currency).

Financial Impact

Underlying EPS grew 6% to 78.0p, driven by higher regulated revenues and cost discipline. Net debt increased to £44.2bn from £41.4bn, with regulatory gearing maintained at 61%.

revenueepsdividendcapital_investmentdebt

Risk Factors

  • Regulatory risk: adverse outcomes in UK ED3 or US rate cases could pressure allowed returns.
  • Execution risk: delivering the record capital programme on time and on budget is critical to achieving asset growth and EPS targets.
  • Interest rate and inflation risk: higher financing costs or lower indexation could impact earnings and gearing metrics.
  • FERC order: ongoing uncertainty regarding transmission ROE methodology in New England may pressure future earnings.

Market Snapshot

Exchange
OTC
Sector
Natural Gas Transmission

Documents Analyzed

This report is based on 2 SEC documents filed with EDGAR.

DocumentAccession Number
20-F Filing (Primary)0001004315-26-000006
Exhibit: ex2b4ngngetemtnupdate2025t.htm0001004315-26-000006
7 reports for NEWEN
Performance horizon

Track record builds as more directional reports settle.

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Reports for NEWEN — sortable, filterable
Type Now
Jun 9, 2026
5d ago
6-K
NEUTRAL ★ 3/10
$160.49 awaiting T+1awaiting T+1$115.00 (−28.34%)
Jun 4, 2026
10d ago
6-K
NEUTRAL ★ 2/10
$112.00 $112.00· 0.00%▲ +2.60%$115.00 (+2.68%)
Jun 4, 2026
10d ago
424B5
NEUTRAL ★ 3/10
$112.00 $112.00· 0.00%▲ +2.60%$115.00 (+2.68%)
Jun 3, 2026
11d ago
6-K
NEUTRAL ★ 2/10
$112.00 $112.00· 0.00%▼ −0.40%$115.00 (+2.68%)
Jun 3, 2026
11d ago
6-K
NEUTRAL ★ 2/10
$112.00 $112.00· 0.00%▼ −0.40%$115.00 (+2.68%)
Jun 3, 2026
11d ago
20-F
NEUTRAL ★ 4/10
$112.00 $112.00· 0.00%▼ −0.40%$115.00 (+2.68%)
May 14, 2026
4w ago
6-K
BULLISH ★ 7/10
$109.62 $109.62· 0.00%▲ +1.23%$115.00 (+4.91%)
Showing 7 of 7

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