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Fair Value of Financial Instruments (Details-3)
9 Months Ended 12 Months Ended
Sep. 30, 2020
Dec. 31, 2019
Basis adjustment:    
Basis adjustment - on peak 93.90% 92.10%
Basis adjustment - off peak 93.70% 92.70%
US Treasury Bill Securities [Member]    
Deferred compensation plan [Abstract]    
Investment interest calculation, investment maturity period (26 weeks) 182 days  
Investment interest calculation, monthly compounding rate 1.00%  
Investment interest calculation, minimum annual rate compounded monthly 7.00%  
Minimum [Member]    
Counterparty fuel mix:    
Internal generation 46.00% 40.00%
Purchased power 35.00% 40.00%
Maximum [Member]    
Counterparty fuel mix:    
Internal generation 65.00% 60.00%
Purchased power 54.00% 60.00%
Weighted Average [Member]    
Counterparty fuel mix:    
Internal generation 56.40% 52.20%
Purchased power 43.60% 47.80%