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HomeMy WebLinkAbout2019Annual Report Supplement.pdfANNUAL REPORT IDAHO SUPPLEMENT TO FERC FORM NO. 1 FOR MULTI.STATE ELECTRIC COMPANIES INDEX Page Number Title 3 1 2 -6 7 8 o 10 -1 13 Statement of Operating lncome for the Year Electric Operating Revenues Electric Operation and Maintenance Expenses Depreciation and Amortization of Electric Plant Taxes, Other Than lncome Taxes Non-Utility Property Summary of Utility Plant and Accumulated Provisions Electric Plant in Service Materials and Supplies 11 2 provided in this report is consistent with the unadjusted data reflected in the company's Results of in the ldaho general rate case, wtrich will be filed with the ldaho Public Utilities Commission on June 1,2020. For further information regarding ldaho's 2019 financial results, refer to the ldaho general rate case Name of Respondent PacifiCorp dba Rocky Mountain Power This Report ls:(1) X An Original (2) _ A resubmission Date of Report (Mo, Da, Yr) May 19,2O20 Year of Report Dec.31,2019 STATE OF IDAHO STATEMENT OF OPERATING INCOME FOR THE YEAR -ine No. ACCOUNT b) (ReO Page No. (b) ELtsUIKIUUIILIIY Cunent Year b) Previous Year u) 1 UTILITY OPERATING INCOME 2 ODsratinq Revenues (400)2 298.763.227 31 I .215.580 3 Operatinq Expenses 4 Ooeration Exoenses (401 )3S 148.465.404 't55.045.764 5 Maintenance Exoenses (402)J-b 20.256.417 23.414.617 6 Depr€ciation Expenses (403) (tt 7 40.903.100 41.826.626 7 Amort. & Oepl. of Utility Plant (404-405)7 2.688.697 2.656.503 8 Amort. of Utility Plant Acq. Adi (406)282,644 296,455 I Amon. ot Propeny Losses, unrecovered Plant and Requlatorv Studv Costs (407) 10 Amort. of Conversion Exoenses (407) 11 Taxes other Than lncome Taxes (408.1 ) (2'I 9.389.124 9.849.439 12 lncome Taxes - Federal (409.1 )11 126 't 3,328,069 13 - Other (409.1)2.893.193 3.704.835 '14 Provision for Defened lncome Taxes (410.1 )14.858.33'l 11.297.703 15 Provision for Defened lncome Taxes - Cr. (411.1)(18.512.483)(16.807.4981 16 lnvestment Tax Crcdit Adi. - Net (411.4)2 (372.891',, 17 (Gain)/Loss from DisD. of Utilitv Plant (41 1 .6. 411.7 . 421\(21 1 .561',|(59.227': 18 Gains from Diso. Of Allowances (41 'l .8)('t 1)fi2', 't9 TOTAL Utility Operating Expenses (Enter Total of Lines 4 thru 18)231.826.795 244.1 80.383 20 Net utrlity operating lncome (Enter lotal ot line 2less 19)66,936,432 67,035,'t 97 (1) D€preciation expense associated with transportation equipment is generally chargsd to operations and maintenance expense and construction work in progress. (2) Payroll taxes are generally charged to operations and maintenance expense and construction work in progress. IDAHO SUPPLEMENT Page 1 i EE ,E EeEEPaAE EE U9 !* ;EflsE E-=oo-o EEboE o fr EEIgE ;n (JEoorf dc t'-6Q)o'. 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(!'g q, E Eoo $t\tt $ qc oo)ct) Eoo E Eoo o (u E(t) s oc ooo E ofEs o oPoJ o)c !cnJ G; .9I !,Eo c)0) o .9 .c)f(L $tt oc).CoE l .9lta(Lo 6 Q)oo oco ro$sl 9o:6d !,cooo(uo!6to o -9(!o (o<ist 6 Q)oo 6 Eo EEooo)Eoc 6{sl o q) Efaco(J 0)oE 5o o -96.t)J FoF o(!oq) E. o o()oo t-$t =.9 oo UJ ooo)ooJ FoF opcfod q,(!t o c.9 .9. Io- oi$$ oo()J o!tcl 0)t oLl.joo o oz It,)co q)trJ FoF oo3c(, 0) G.oc Eq)cto q) o ocfoo.9oE0) 'iDEo]l' orott oc)lc(, (,to.9zo,(t) ofoq)c -g6o.o = ros 6) =oo (, o3Eco 0)o =oooo (oro$ EoCLIo. .9 o -9UJ Eo co)t st|r)rt o tr0)t 6c() EE(,oa)Eoc lolr)$ ooJcC' oto oit u.l o)Eo (olOst oofco c)tc,E Eooo 0)Eo) FoF oo =co 0,tc,c E()croo'troQ) l,tJJ FoF 9ci-z ol o t lo @ l.-o O)o ol (Y)\t ro (O t\@ o)oN N NN (r)(!slN Page 2IDAHO SUPPLEMENT Name of Respondent PacifiCorp dba Rocky Mountain Power This Report ls:(1) X An Original(2) _ A resubmission Date of Report (Mo, Da, Yr) May 1 9, 2020 Year of Report Dec.31,2019 ALLOCATED ELECTRIC OPERATION AND MAINTENANCE EXPENSES. IDAHO lf the amount for previous year is not derived from previously reported figures, explain in footnotes. Ltne No.Account (a) Amount lor Curent Year (b) Amount tor Previous Year (c) 1 1. POWER PRODUCTION EXPENSES 2 A. Steam Power Generation 3 Ooeration 4 (500) Ooeration SuDervision and Enoineerino 1.053.665 1.106.501 5 t501) Fuel 47.745.478 51.813.402 6 (502) Steam Exoenses 4.743.637 5,000,469 7 [503) Steam from Other Sources 315.452 307,616 8 tless) (504) Steam Transfened - Cr I t505) Electric Exoenses 90.589 95.379 10 [506) Miscellaneous Steam Power Expenses 1_598.531 1 .51 1.'t66 11 (507) Rents 29,110 30.295 12 TOTAL Ooeration (Enter Total of lines 4 thru 11)55.576.462 59.864.828 13 Maintenance 14 [51 0) Maintenance SuDervision and Enoineerino 431.127 495.217 15 [5'l 1) Maintenance of Structures 1,632,34',1 't.670.850 16 (512) Maintenance of Boiler Plant 5.263.249 5.843.098 17 (5'13) Maintenance of Electric Plant 2.335.427 2.509.s82 18 [514) Maintenance of Miscellaneous Steam Plant 612.214 602.716 19 TOTAL Maintenance (Enter Total of lines 14 thru 18)10.274.358 11.121.463 20 TOTAL Power Production Expenses - Steam Power (Enter Total of lines 12 & 19)65,850,820 70.986.291 21 B. Nuclear Power Generation 22 Operation 23 (517) Ooeration Suoervision and Enoineerino 24 (518) Fuel 25 (519) Coolants and Weter 26 (520) Steam Expenses 27 (521) Steam from Other Sources 28 (Less) (522) Steam Trans{ened - Cr 29 (523) Electric Exoenses 30 (524) Miscellaneous Nuclear Power Exoenses 3'l (525) Rents 32 TOTAL Operation (Enter Total of lines 23 thru 31) 33 Maintenance 34 (528) Maintenance Suoervision and Enqineerinq 35 (529) Maintenanc,e of Structures 36 (530) Maintenance of Reactor Plant EouiDment 37 (53'l ) Maintenance of Electric Plant 38 (532) Maintenance of Miscellaneous Nuclear Plant 39 TOTAL Maintenance (Enter Total of lines 34 thru 38) 40 TOTAL Power Production Exoenses - Nuclear Power (Enter Total of lines 32 & 39) 41 C, Hvdraulic Power Generation 42 Ooeration 43 (535) Operation Supervision and Enqineerinq 559,356 525,686 44 (536) Water for Power 2.139 2.379 45 (537) Hvdraulic Exoenses 240.778 28',t.394 06 (538) Electric Exoenses 47 (539) Miscellaneous Hvdraulic Power Generation Exoenses 1.184.501 1.150.134 48 (540) Rents 100,275 75,780 49 2.OE7,049 2.035.373 IDAHO SUPPLEMENT Page 3 Narne of Respondent PacifiCorp Report ls:X An Original A resubmissionRocky Mountain Po,rrer Date of Report (Mo, Da, Yr) May 19,2020 Year of Report Dec.31,2019 ALLOCATED ELECTRIC OPERATION AND MAINTENANCE EXPENSES - IDAHO lf the amount for previous year is not derived from previously reported figures, explain in footnotes. Lrne No.Account (a) Amount lor Cunent Year (b) Ainount for Previous Year (c) 50 C. l-Mraulic Pou€r Generation (Continued) 51 Maintenance 52 f541) Maintenance Suoervision and Enoineerino 23 29 53 f5421 Maintenance of Structures 38.228 44.458 54 f54.3) Meintenance of Reservoirs. Dams. and Waterwavs 104.645 88.434 55 f544) Maintenance of Electric Plant 118.998 1(x_353 56 f545) Maintenance of Miscellaneous Hvdraulic Plant 258,795 2,m,598 57 TOTAL Maintenance 520.689 477.872 58 TOTAL PoM/er Prcduction Exoenses - Hvdraulic Po\ rer (Enter Total of lines 49 & 57)2.607.7*2.513.245 5S D. Other Power Generation 80 Ooeralbn 61 l5a6 2'1.o32 17.707 62 Fuel 1 8.275-033 1 5-603.255 OJ (548) Generation Exoenses 1.019.903 1.092.226 64 t549) Miscellaneous Other Pov\rer Generation Expenses 455.878 311.294 65 f550) Rents 168.480 249.926 bb TOTAL Ooeration (Enter Total of lines 61 thru 65)19.940.326 17.274.408 67 Mainlenance 68 [551 ) Maintenance Supervision and Engineering 69 [552) Maintenance of Structures 140.354 272.609 70 t553) Maintenance of Generation and Electric Plant 723 469 1 101.066 71 f554) Maintenance of Miscellaneous Other Poffer Generation Plant 177.191 193,095 72 TOTAL Maintenance (Enter Total of lines 68 thru 71)1.041.014 1.566.770 73 ToTAL Power Production Exoenses - Other Porrer (Enter Total of lines 66 & 72)20.981.340 18.841.178 74 E. Other Pourcr Suoolv Exoenses 75 f555) Purchas€d Pou/er 40.o93.922 43.924.705 76 556) Svstem Control and Load Dispatchins 45.552 75.113 77 Other 6.797.525 7.002.440 78 Poner Total lines 75 thru 46.936.999 51.002.258 79 TOTAL Power Production Exoenses - (Enter Total of lines 20. zto. 58. 73 and 78)136.376.897 143.342.972 80 2. TRANSMISSION EXPENSES B1 Operation 82 (560) ODeration SuDervision and Enoineerinq 4i5.102 419_901 83 (561) Load Disoatchino 1.206.737 1.233.382 B4 (562) Station Exoenses 184,669 179.919 85 (563) Overhead Line ExDenses 64.&7 s3.602 86 (564) Underoround Line ExDenses g7 1565) Transmission of Electricitv bv Others 8.650.055 8.369.141 B8 (566) Miscellaneous Transmission Exoenses 177.705 'tTt.269 89 Rents 132.649 132.576 90 TOTAL ODeration (Enter Total of lines 82 thru 89)10.85't .328 10.565_790 91 Maintenance s2 (568) Maintenance Suoervision and Enoineerino 77.103 89.563 93 (569) Maintenance of Structures 342.147 382.730 94 (570) Maintenance of Station EouiDment 697.326 7lB.056 95 of Overhead Lines 957.687 1.001.154 96 (572) Maintenance of Underoround Lines 3.401 5.O72 s7 (573) Mainlenance of Miscellaneous Transmission Plant s.o72 13.774 98 ToTAL Maintenance {Enter Total of lines 92 thru 97)2.088.736 2.235.349 12.'t2.801.139 1U0 101 't02 4i'U ,1 3t'4it6,44lt 103 5E1 OUrr,6t1 5 /5,9b1 (l) The ldaho amounts in Account 557 Other expenses are $5,961,983 Ior the cunent )rear and $6,01 6,898 for the previous year. However, the amount for this year has been increased by $835,542 because of the impact of the 2020 Protocol Adjustment, while in the prior year it was increased by 985,542 because of the impact of the 201 7 Protocol Adjustment. IDAHO SUPPLEMENT Page 4 Name of Respondent PacifiCorp dba Rocky Mountain Power This Report ls:(1) X An Original(2) _ Aresubmission Date of Report (Mo, Da, Yr) May 19,2020 of Report Dec. 31, 2019 ALLOCATED ELECTRIC OPERATION AND MAINTENANCE EXPENSES - IDAHO lf the amount for previous year is not derived from previously reported figures, explain in footnotes. Ltne No.Account (a) Amount Ior Current Year (b) Amount for Previous Year (c) 104 3. DISTRIBUTION EXPENSES (Continued) 105 f582) Station Exoenses 472,',t15 453.365 106 (583) Overhead Line Exp€nses 313,774 429.560 107 108 (585) Street Liqhtinq and Siqnal Svstem Expenses 11.201 't2,318 109 (586) Meter Exoenses 183,938 199,955 110 Customer lnstallations 886,970 969,859 111 (588) Miscellaneous Distribution Expenses (977)39,619 112 (589) Rents 34.9s6 40,588 113 TOTAL Ooeration (Enter Total of lines 1 02 thru 1 12)2.947.7U 3.1s5.658 114 Maintenance 115 (590) Maintenance Suoervision and Enoineerino 333,798 245.783 116 (591) Maintenance of Structures 148,372 116,697 117 (592) Maintenance of Station Equipment 507,870 327,807 118 (593) Maintenance of Overhead Lines 2.587.9M 4,697,065 119 (594) Maintenance of Underqround Lines 902.167 759,910 120 (595) Maintenance of Line Transformers 50,126 48,46 121 (596) Maintenance of Street Liqhtinq and Siqnal Systems g',t.042 102,493 122 Maintenance of Meters 36.291 16,860 123 (598) Maintenance of Miscellaneous Distribution Plant 287.462 319,s95 124 TOTAL Maintenance (Enter Total of lines 115 thru 123)4.945.O72 6.634.656 125 TOTAL Distribution Exoenses (Enter Total of lines 1 13 and 1241 7.892.856 9.790.314 126 4. CUSTOMER ACCOUNTS EXPENSES 127 Ooeration 128 f901) SuDervision 95.981 103.732 129 t902) Meter Readino Exoenses 2,17',t,',t32 2.057.782 130 [903) Customer Records and Collection Exoenses 1,989,916 2.168.720 131 t904) Uncollectible Accounts 657,699 433.211 132 (905) Miscellaneous Customer Accounts Exoenses 756 642 133 TOTAL Customer Accounts Exoenses (Enter Total of lines 128 thru 1 32)4.915.4U 4.764.O87 'tu 5. CUSTOMER SERVICE ANO INFORMATIONAL EXPENSES 135 Operation 136 283 4,925 137 Customer 132.712 103,768 138 lnformational and lnstructional 266,394 235,807 139 (910) Miscellaneous Customer Service and lnformational Expenses 190 1,732 140 TOTAL Cust. Service and lnformational Exp. (Enter Total of lines '136 thru 1 39)399.579 3$,232 141 6. SALES EXPENSES 't42 ODeration 143 (911 ) Suoervision 144 (912) Demonstratino and Sellino Exoenses 145 (9 1 3) Advertisino Exoenses 146 (916) Miscellaneous Sales Exoenses 147 TOTAL Sales Exoenses (Enter Total of lines 143 thru 146) 148 7. ADMINISTRATIVE AND GENERAL EXPENSES 149 Operation 150 (920) Administrative and General Salaries 4.377.494 4.280.871 151 (921) Office Supplies and Expense 560,397 598,608 152 (Less) (922) Administrative Expenses Transferred - Cr (1.976.6011 (1.890,263) 153 1.164.399 1.0E3.6E0 154 924 3E4,332 421,773 155 vzt 357,316 962,344 156 vzo 5.817.660 6.767.E04 157 (1) Pensions and benefits expense is associated with labor and generally charged to operations and maintenance expense and construction work in progress. IDAHO SUPPLEMENT Page 5 Name of Respondent PacifiCorp dba Rocky Mountain Power This Report ls:(1) X An Original(2) _ Aresubmission Date of Report (Mo, Da, Yr) May 19,2020 Year of Report Dec. 31, 2019 ALLOCATED ELECTRIC OPERATION AND MAINTENANCE EXPENSES (Continued) - IDAHO lf the amount for previous year is not derived ftom previously reported figures, explain in footnotes. Line No Account (a) Amount 10r Cunent Year (b) Amount tor Previous Year (c) '157 7. ADMINISTRATIVE AND GENERAL EXPENSES (Continued) 158 (927) Franchise Reouirements 't59 (928) Reoulatorv Commission Exoenses 1.339.610 1.161.503 160 (929) Duolicate Charqes - Cr (7.468.193)(7.619.742\ 161 (930.1 ) General Advertising Expenses 3.145 34 162 (930.2) Miscellaneous General Eloenses 125.122 129.277 't63 (931) Rents 125.510 141.241 164 TOTAL ODeration (Enter Total of lines 150 thru 163)4.810.393 6.037.130 16s Maintenance 166 (935) Maintenance of General Plant 1.388.548 1.378.507 167 TOTAL Administrative and General Expenses (Enter Total of lines 164 & 166)6.198.941 7.415.637 168 I U I AL EleCmC UperaUon ano Marntenanoe Expenses (Enler r oulr or flnes /9, 99, '125, 133, 14O, 147, and 167)'t68,721,821 178,460,381 SUMMARY OF ELECTRIC OPERATION AND MAINTENANCE EXPENSES - IDAHO Line No. Functional Classifi cations (a) Operation (b) Maintenance (c) Total (d) 169 170 171 172 173 174 175 176 177 178 179 180 't81 't82 183 Power Produc{ion Expenses Electric Generation: Steam Power Nuclear Power Hydraulic -Conventional Other Porer Generation Other Power Supply Expenses Total Power Production Expenses Transmission Expenses Distribution Exp€nses Customer Ac@unts Expenses Customer Service and lnformational Expenses Sales Expenses Adm. and General Expenses Total Elec{ric Operation and Maintenance Expenses 55,576,462 2,087,049 19,940,326 46.936.999 10,274,358 520,689 1,041,014 65,850,820 2,607,738 20,981,340 46.936.999 124,540,836 1 1.836,061 't 36.376.807 10,851,328 2.947,7U 4,915,484 399,579 4.810.393 2,086,736 4,945,072 r.388.548 12,938,064 7,892,856 4,915,484 399,579 6.198.941 14E.465.404 20.256.417 168.72',t.821 IDAHO SUPPLEMENT Page 6 STATE OF IDAHO - ALLOCATED (1) Depreciation expense associated with transportation equipment is generally charged to operations and maintenance expense and construction work in progress. IDAHO SUPPLEMENT Page 7 Name of Respondent PacifiCorp dba Rocky Mountain Power This Report ls:(1) _: AnOriginal(2) _ Aresubmission Date of Report (Mo, Da, Yr) May 19,2020 Year of Report Dec. 31,2019 DEPRECIATION AND AMORTIZATION OF ELECTRIC PLANT (Accounts 403, 404, 405) (Except amortization of acquisition adjustments) A. Summary of Depreciation and Amortization Charges Line No Functional Classification (a) Depreciation Expense (Account 403)(i) (b) Amortization of Limited-Term Electric Plant (Acct. 404) (c) Amortization of Other Electric Plant (Acct. 405) (d) Total (e) 1 lntanoible Plant 2.654.017 2,654,017 2 Steam Produc'tion Plant 14.s12.632 14.s12.632 3 Nuclear Production Plant 4 Hvdraulic Production Plant - Conventional 2.454.O40 18.425 2.472.465 5 Hydraulic Production Plant - Pumped Storaqe 6 Other Production Plant 7.581.927 7.581.927 7 Transmission Plant 6.650.467 6.650.'167 8 Distribution Plant 7.262.954 7.262.954 I General Plant 2.441.O80 16.255 2.457.335 10 Common Plant - Electric 't1 TOTAL 40,903,100 2,688,697 43,591,797 Name of Respondent PacifiCorp dba Rocky Mountain Power This Report ls:(1) X An Original(2) _ A resubmission Date of Report (Mo, Da, Yr) May 19, 2020 Year of Report Dec. 31,2019 STATE OF IDAHO. ALLOCATED TAXES, OTHER THAN INCOME TAXES AGCOUNT 408.1 (r) (1) Payroll taxes are generally charged to operations and maintenance expense and construction work in progress. KIND OF TAX AMOUNI 1 Prooertv 8.50s.483 2 Other 883.641 3 4 5 6 7 8 10 1',! 12 13 14 15 16 17 18 19 20 Total ( Must agree with page 1 , line 1 1.)9,389,124 IDAHO SUPPLEMENT Page 8 Go oEfia (oo(,trsoc0 N a?tro c)(9 o !tF.(\l rorr)N(\t lor\NriN c.i o(\l(v, GO (o rO o).F Naoo (0r\@do ootr EF E@E^oo.FoE. E tro .gJEa) ooco6dl CD() .E .gq)oo N a?\t|J) (tc)o \tt\cl ]nlr,t-N loF\N\tNci GONa7, o (o rOq N N6(r) (oN@ odao Eo CT (,tnoo EtrGJooI 6 .9tEcoJ !,trsooTL 6 E.otr EtroJ Ec -9ooL Eca!Jo0,Lr E'E(!JoolL E'csooLL Etr -5ooI Etr .EooL !,trsootr Etr -5oolj- c.9o oooo Eo (EooJ FzJo-oztr uJtF IJJJoo- @JJ l!oI o U)FIott IJJF =oz IJJFoFzIo-o J ozIFzILz =oF UJoE.oUJ(, Fz uJ =o-o) r.lJ IJJo 1 u.tFozoF Fod!f.t)z z UJ = zIF Foo:)U)zooloFt UJztoot UJF o UJF(r)zoof IJJE(DzoF Foc0f,o(r, 6 c0fooJo UJFozoF Fod)f(t) E.UJ tFU) ul lut@zIF Fq.0fo 3 UJ IIJFzo IFtoz uJF (nzoF FU)tol <n 3U uFzo = t lrJFzlrJo IJJo t IJJo u.l\< 5ol = tlrJFz UJo UJo t UJ@oz zoF Fq G)lo 5 Eoo.eo- =fcoz 6oF (\t (o t r'f)@ N o O)o N (t, lt ^L6!2-&i od)Edoo N z3o()o FEUIo.ouo.t =:)zoz eEqHb89 fieg c.9o6.oCE crr-o-.'tr ).oE sCLb<<CI&xl Io'= ^^rvg o, =oL tr Ec =o =e-aoo P& B.eTLE coocoo.ood. oq) E(0z Page 9IDAHO SUPPLEMENT of Respondent Report ls: Rocky Mountain Po\,ver (1) -L Anoriginal (2) _ Arasubmission Date of Roport (Mo, Da, Y0 May 19,2020 of Report 31,2019 SUMMARY OF UTILITY PLANT AND ACCUMULATED PROVISIONS FOR DEPRECIATION, AMORTIZATION AND DEPLETION Line No Account (a) Amount for Cunent Year (b) Amount for Previous Year (c) 1 I,flL]TY PLANT 2 ln Service 3 Plant ln S€rvice (Classified)1.609.735.369 1.645.966.883 1 ProD€rW Under CaDit€l Lease (1) 5 Plant Purchased or Sold 6 Completed Construction not Classified 13_900.267 14-289.130 7 Exmrimental PIant t-lmlassified 8 Total (Enter Total of Lines 3 throuoh 7)1.623.725.636 1_660-256-013 I Lasd To OtheE 10 H6ld for Futur€ use 743.669 780.m6 11 Construction Work ln Pocess 12) 12 Acouisilion Adiustrnents 8,553,673 8.971.626 13 Total Utilitv Plant (Enter Total of Lines I throuoh 1 2)1.633.022.978 1.670.007.645 14 Accumulatad Prcvision for Oepr€ciation, Amortization & Depletion 583.41 1 .736 626334125 15 Net Utility Plant (Enter Total of Line 13 less Line 14)1.019.611.242 1.043.673.520 16 DETAIL OF ACCUUULATED PROVISION FOR DEPRECIATION, ATORTIZATION AND DEPLENON 17 ln Service 18 Deorecialion 538.669.948 582.574.935 19 Amortization/Deoletion of Producino Natural Gas Land And Land Riohts 20 Amortization of Und€mround Storaoe Land and Land Riqhts 21 Amortization of Other Utility Plant 37.Om.557 35.945.599 22 Total ln Seruice {Enter Total of Lines 18 thmuoh 21'l 575.679-505 618_520-534 23 Laamd To Olhem 24 DeDEciation 25 Amortization And Oeoletion 26 Total Leased to Otrors (Enter Total of Lines 24 and 25) 27 {eld for Future Use 28 DeDrBciation 29 Amortization 30 Total H€ld br FuturB Use (Enter Total of Lines 28 and 29) 3'l Abandonment of Leases (Natural Gas) 32 A6umulaled Pmvision for Asst Amuisition Adiustment 7.73223',1 7.8't 3_591 33 Total Accumulated Provisions (Should Agr€e With Line 14 above) (Enter Total of Lines 22,26,30, 31 and 32)583.41 1.736 626.334.1 25 34 (l) Capitalized leasa assets ar€ not included in rate base; they arB included in operating expens€ as rent expens€. (2) Construction Work ln Process ("CwlP") is not included in rate base and it is not assignod allocation factoE until it goes into service. On a total Gompany basis, CWIP was $2,002,448,524 at December 31, 2019. IOAHO SUPPLEMENT Page 10 Name of Respondent PacifiCorp dba Rocky Mountain Power This Report ls:(1) X An Original(2) _ Aresubmission Date of Report (Mo, Da, Yr) May 19,2020 Year of Report Dec.31,2019 ELECTRTC PLANT rN SERVTCE - STATE OF IDAHO (ALLOCATED) iln addition to Account l01 , Electric Plant ln Service (Classified), this schedule includes Account 1 02, Electrlc Plant Purchased or Sold, Account 103, Experimental Electric Plant Unclassified and Account 1 06, Completed Construction Not Classified-Electric.) 1. Report below the original cost of electric plant in service according to prescribed accounts. 3. Credit adjustments of plant accounts should be enclosed in parentheses to indicate the negative effect of such amounts. 2. Do not include as adjustments, corrections of additions and retirements for the current or the preceding year. Line No.Account (a) Beginning Balance (b) Balance at End of Year (q) 1 1. INTANGIBLE PI-ANT 2 301 3 JVZ 1 12.558.231 4 JVJ 44.7E6.',t24 5 TOTAL lntanqible Plant (Enter Total of lines 2, 3, and 4)57.344.355 6 2. PRODUCTION PIINT 7 on Plant I 310 a 765 5.496.677 9 311 1 1 62.095.207 10 312 288.35 273.912.72E 11 313 12 314 61.8 59.332.914 13 315 28.92E.131 14 316 2.O2:1.995.931 AL Production Plant lines 1 431,761,568 B. Nuclear Production Plant lm Reactor Plant Eouioment tt5 Units t24 Electric 22 Misc. Power Plant 23 TOTAL Nuclear Production Plant (Enter Total of lines 1 7 thru 22) 24 25 330 2,2.146.92fj 26 331 17,1 16.48s.4s0 27 332 31,6(30.497.570 28 (333 8.387.526 29 (3U s.038.180 30 (335 'l 151.171 31 (336 1.474.512 32 TOTAL Hvdraulic Production Plant (Enter Total of lines 25 thru 31)64.181 .335 33 u. uther Productron Plant 3,007.80E and I 13.579,128 Fuel 956,90 5.+J IPrime Movers 165.249,, (344)Generators 29,2146,06 39 [345) Accessorv Electric Eouioment 19,171 ,04 40 346 941,3( 41 232,351 ,t1 42 TOTAL Production Plant (Enter Total of lines 15, 23,32, and 4'l\768,8 728.294.64 IDAHO SUPPLEMENT Page 11 Name of Respondent PacifiCorp dba Rocky Mountain Power This Report ls:(1) X An Original (2) _ A resubmission Date of Report (Mo, Da, Yr) May 19,2020 Year of Report Dec.31,2019 ELECTRIC PLANT lN SERVICE (Gontinued) STATE OF IDAHO (ALLOCATED) Line No Account (a) Beginning Balance (b) Balance End of Year (s) 43 3. TRANSMISSION PLANT 44 16.825 16.587.091 45 (3s itructures and lmorovements 7 996 16.708.847 46 (353 1 1 1 31.1 38,148 47 (354 Towers and Fixtures 836 77.206.535 48 (355 Poles and Fixtures 080 59.732.112 49 ,co Overhead Conductors and Devices 77 75.7U.497 50 )0/243 221,509 51 (358 498 4E6,9E6 52 740 705.623 53 387.519.413 378.527.98 54 4. DISTRIBUTION PLANT 55 (360 1,635 1.E35.903 56 (36'l) Structures and lmprovements 2.932 3.366.731 57 35.064.026 37.524.250 58 (363 59 (364 91.208 94.598.436 60 40.464.083 61 )w 10.343.293 10,668,846 62 ,o,233 29.474.412 63 368) Line Transformers 85.091.706 64 (369) Services 533 44.726.689 65 O'U Meters 16,'t13,352 16.827,950 66 371 lnstallations on Customer Premises 414 1 70,194 67 5lz on 68 )ro 738 770.243 69 T 352.229.261 365.523.443 70 5. GENERAL PLANT 71 671.121 72 (39(Structures and lmprovements 't8.114.649 73 391 Office Furniture and Equipment 4.845.991 3.912.030 74 8.277.652 75 (393) I itores EouiDment 879 873.089 76 ,w 3.826 3.706.858 77 (395 2.'t08.u4 2,054,313 78 Jlro 13,709 14.021.353 79 (397) I 27.920.207 80 ,VU 373.337 81 Total of 80,836,656 79,924.609 82 JYY o27 120,971 83 683 80.045.580 84 1 1.609.735.369 85 (102) Less 87 103 88 1 06) Plant Unclassified 13.990.267 89 TOTAL Electric Plant in Service 013 1.623.725.636 IDAHO SUPPLEMENT Page 12 STATE OF IDAHO -ALLOCATED Name of Respondent PacifiCorp dba Rocky irountain Power Report ls: -L An Original_ A rBsubmission Date of Report (1) (2) Da, Y0 't9,2020 Year of Report Dec.31,2019 MATERIALS AND SUPPLIES 1. For Account 154, rcport th€ amount of plant materials and op€rating supplies under the primary functional classifications as indicated in column (a); estimates of amounts by funclion ar€ accoptable. ln column (d), designate the department or d€partments which use lhe class of material. 2. Give an explanation of important invBntory ad,ustments during the )€ar (on a supplemental page) showing general class€s of material and supplies and lhe various accounts (op€rating expense, clearing accounts, plant etc.) afiacled - debited or cEdited. Show separately debits or cr€dits to stoEs expense clearirE, if applicable. Line No. ACCOUNT (a) Ealance Beginning of Year {b) Balance End of Year (c) Department or D€partments Which Use Material (d) 1 Fuel Stock (Account'15'l)9.476,648 Elm'tric 2 Fml Stmk Exoenses u ndistribut€d (Account'l 52) 3 Residuals and Extracted Products (Account 153) 4 Plant Matorials and ODoratino SuoDlies (Account 1g) 5 Assion€d to - Construction (Estimat€d)8.539.031 Electric 6 Assion€d to - ODerations and Maintenance 7 Pmduction Plant (Estimated l 4.207.102 Electric 8 Trensmission Plant (Estimated)40,177 Electric I DishibrJtion Plant (Estimatod)607,427 Electric 10 Assioned to - Other (76.6431 Electric 11 TOTAL Account 154 (Enter Total of lines 5 thru '10)13.317.094 12 [r€rchandise (Account 1 55) 13 Other Meterials and SuDolies (Account'156) 14 Nuclear Materials Held for Sale (Account 157) (Not applicable to Gas Utilities) 15 Stores ExDense Undistribded (Account 163) 16 17 18 19 20 TOTAL Materials and Suoolies (Per Balance sheet)22,793,742 IDAHO SUPPLEMENT Page 13