Questar Corporation

(NYSE:STR)
  Sep 30, 2008 Jun 30, 2008 Mar 31, 2008 Dec 31, 2007
Cash Flow Statement
Cash At Beginning Of Period 14,200 14,200 14,200 24,600
Cash At End Of Period 14,200
Net Change In Cash And Cash Equivalents -14,200 -14,200 -14,200 -10,400
Effect Of Exchange Rate Changes
Net Income Or Loss 562,600 358,400 185,800 507,400
Cash From Operating Activities
Depreciation Expenses 357,600 229,700 112,600 375,800
Amortization Expenses
Amortization Of Intangibles Expenses
Deferred Income Taxes 297,300 152,200 68,600 191,200
Operating Gains Or Losses 64,300 -25,700 -11,300 2,400
Extraordinary Gains Or Losses
Increase Or Decrease In Receivables -7,600
Increase Or Decrease In Inventories 26,700
Increase Or Decrease In Prepaid Expenses
Increase Or Decrease In Other Current Assets
Increase Or Decrease In Payables 3,300
Increase Or Decrease In Other Current Liabilities -13,600
Increase Or Decrease In Other Working Capital 19,600
Other Non Cash Items -54,800 -56,400 -37,700 5,100
Net Cash From Continuing Operations -91,500 21,900 6,600 30,700
Net Cash From Discontinued Operations 1,135,500 680,100 324,600 1,141,000
Net Cash From Operating Activities
Cash From Investing Activities
Sale Of Property Plant And Equipment 127,500 33,300 400 22,800
Sale Of Long Term Investments
Sale Of Short Term Investments
Purchase Of Property Plant And Equipment -1,919,000 -1,424,200 -1,010,300 -1,393,100
Acquisitions
Purchase Of Long Term Investments
Purchase Of Short Term Investments
Other Investing Changes Net -24,800 -12,000 -2,700 -14,800
Cash From Discontinued Investing Activities
Net Cash From Investing Activities -1,816,300 -1,402,900 -1,012,600 -1,385,100
Cash From Financing Activities
Issuance Of Debt 5,000 3,000 800 5,900
Issuance Of Capital Stock -898,600 -752,500 -301,600 -10,000
Repayment Of Debt -14,500 -14,000 -8,600 -10,200
Repurchase Of Capital Stock -63,700 -42,400 -21,200 -83,700
Payment Of Cash Dividends 21,800 8,400 9,600 11,100
Net Other Financing Charges 21,800 8,400 9,600 11,100
Cash From Discontinued Financing Activities
Net Cash From Financing Activities 666,600 708,600 673,800 233,700