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SAN ONOFRE NUCLEAR GENERATING STATION (Tables)
9 Months Ended
Sep. 30, 2020
Public Utilities, General Disclosures [Abstract]  
Schedule of Nuclear Decommissioning Trusts Investments
The following table shows the fair values and gross unrealized gains and losses for the securities held in the NDT. We provide additional fair value disclosures for the NDT in Note 9.
NUCLEAR DECOMMISSIONING TRUSTS
(Dollars in millions)
 CostGross
unrealized
gains
Gross
unrealized
losses
Estimated
fair
value
At September 30, 2020:    
Debt securities:    
Debt securities issued by the U.S. Treasury and other U.S. government corporations and agencies(1)
$48 $$— $49 
Municipal bonds(2)
318 18 (1)335 
Other securities(3)
258 14 (1)271 
Total debt securities624 33 (2)655 
Equity securities147 254 (12)389 
Cash and cash equivalents13 — — 13 
Total$784 $287 $(14)$1,057 
At December 31, 2019:    
Debt securities:    
Debt securities issued by the U.S. Treasury and other U.S. government corporations and agencies
$57 $— $— $57 
Municipal bonds270 12 — 282 
Other securities218 (1)226 
Total debt securities545 21 (1)565 
Equity securities176 339 (6)509 
Cash and cash equivalents— — 
Total$729 $360 $(7)$1,082 
(1)    Maturity dates are 2022-2050.
(2)    Maturity dates are 2020-2056.
(3)    Maturity dates are 2020-2072.
Schedule of Sales of Securities By Nuclear Decommissioning Trusts
The following table shows the proceeds from sales of securities in the NDT and gross realized gains and losses on those sales.
SALES OF SECURITIES IN THE NDT
(Dollars in millions)
 Three months ended September 30,Nine months ended September 30,
 2020201920202019
Proceeds from sales$294 $231 $1,091 $728 
Gross realized gains108 18 
Gross realized losses(2)(1)(13)(4)