XML 50 R38.htm IDEA: XBRL DOCUMENT v3.22.2
Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2022
Fair Value Disclosures [Abstract]  
Fair value of assets and liabilities that are measured at fair value on a recurring basis
The following table presents the fair value at June 30, 2022, of our assets and liabilities that are measured at fair value on a recurring basis (dollars in thousands):
 
 Level 1Level 2Level 3Other Total
Assets      
Risk management activities — derivative instruments:
Commodity contracts$— $281,107 $8,505 $(40,737)(a)$248,875 
Nuclear decommissioning trust:
Equity securities12,773 — — 1,401 (b)14,174 
U.S. commingled equity funds— — — 460,619 (c)460,619 
U.S. Treasury debt211,284 — — —  211,284 
Corporate debt— 177,297 — —  177,297 
Mortgage-backed securities— 135,858 — —  135,858 
Municipal bonds— 67,943 — —  67,943 
Other fixed income— 8,913 — —  8,913 
Subtotal nuclear decommissioning trust224,057 390,011 — 462,020 1,076,088 
Other special use funds:
Equity securities29,093 — — 938 (b)30,031 
U.S. Treasury debt310,667 — — — 310,667 
Municipal bonds— 5,708 — — 5,708 
Subtotal other special use funds339,760 5,708 — 938 346,406 
Total assets$563,817 $676,826 $8,505 $422,221 $1,671,369 
Liabilities      
Risk management activities — derivative instruments:      
Commodity contracts$— $(94)$(3,959)$(1,543)(a)$(5,596)

(a)Represents counterparty netting, margin, and collateral. See Note 7.
(b)Represents net pending securities sales and purchases.
(c)Valued using NAV as a practical expedient and, therefore, are not classified in the fair value hierarchy.
The following table presents the fair value at December 31, 2021, of our assets and liabilities that are measured at fair value on a recurring basis (dollars in thousands):
 
 Level 1Level 2Level 3Other Total
Assets      
Risk management activities — derivative instruments:
Commodity contracts$— $115,079 $— $(4,690)(a)$110,389 
Nuclear decommissioning trust:      
Equity securities45,264 — — (27,782)(b)17,482 
U.S. commingled equity funds— — — 595,048 (c)595,048 
U.S. Treasury debt240,745 — — — 240,745 
Corporate debt— 203,454 — —  203,454 
Mortgage-backed securities— 155,574 — —  155,574 
Municipal bonds— 72,189 — —  72,189 
Other fixed income— 10,265 — —  10,265 
Subtotal nuclear decommissioning trust286,009 441,482 — 567,266 1,294,757 
Other special use funds:
Equity securities47,570 — — 936 (b)48,506 
U.S. Treasury debt298,170 — — — 298,170 
Municipal bonds— 11,734 — — 11,734 
Subtotal other special use funds345,740 11,734 — 936 358,410 
Total assets$631,749 $568,295 $— $563,512 $1,763,556 
Liabilities      
Risk management activities — derivative instruments:      
Commodity contracts$— $(4,740)$(2,738)$3,105 (a)$(4,373)

(a)Represents counterparty netting, margin, and collateral. See Note 7.
(b)Represents net pending securities sales and purchases.
(c)Valued using NAV as a practical expedient and, therefore, are not classified in the fair value hierarchy.