XML 41 R14.htm IDEA: XBRL DOCUMENT v3.22.4
APS - CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
PROPERTY, PLANT AND EQUIPMENT (Notes 1, 6 and 9)    
Plant in service and held for future use $ 22,452,146 $ 21,688,661
Accumulated depreciation and amortization (7,929,878) (7,504,603)
Net 14,522,268 14,184,058
Construction work in progress 1,882,791 1,329,478
Palo Verde sale leaseback, net of accumulated depreciation of $260,754 and $256,884 (Note 17) 90,296 94,166
Intangible assets, net of accumulated amortization of $817,961 and $737,694 258,880 273,693
Nuclear fuel, net of accumulated amortization of $126,157 and $133,122 100,119 106,039
Total property, plant and equipment 16,854,354 15,987,434
INVESTMENTS AND OTHER ASSETS    
Nuclear decommissioning trusts (Notes 12 and 18) 1,073,410 1,294,757
Other special use funds (Notes 12 and 18) 347,231 358,410
Assets from risk management activities (Note 15) 44,394 46,908
Other assets 125,672 97,884
Total investments and other assets 1,590,707 1,797,959
CURRENT ASSETS    
Cash and cash equivalents 4,832 9,969
Customer and other receivables 453,209 391,923
Accrued unbilled revenues 164,764 133,980
Allowance for doubtful accounts (Note 2) (23,778) (25,354)
Materials and supplies (at average cost) 410,481 349,135
Fossil fuel (at average cost) 40,155 18,032
Income tax receivable (Note 4) 14,086 7,514
Assets from risk management activities (Note 15) 87,835 63,481
Deferred fuel and purchased power regulatory asset (Note 3) 460,561 388,148
Other regulatory assets (Note 3) 78,318 130,376
Other current assets 60,091 83,896
Total current assets 1,750,554 1,551,100
DEFERRED DEBITS    
Regulatory assets (Notes 1, 3 and 4) 1,283,221 1,192,987
Operating lease right-of-use assets (Note 8) 801,688 890,057
Assets for pension and other postretirement benefits (Note 7) 396,599 545,723
Other 46,282 37,962
Total deferred debits 2,527,790 2,666,729
TOTAL ASSETS 22,723,405 22,003,222
EQUITY    
Retained earnings 3,360,347 3,264,719
Accumulated other comprehensive loss (Note 19) (31,435) (54,861)
Total shareholders’ equity 6,048,647 5,906,200
Noncontrolling interests (Note 17) 111,229 115,260
Total equity 6,159,876 6,021,460
LONG-TERM DEBT LESS CURRENT MATURITIES (Note 6) 7,741,286 6,913,735
CURRENT LIABILITIES    
Short-term borrowings (Note 5) 340,720 292,000
Accounts payable 430,425 393,083
Accrued taxes 164,440 168,645
Accrued interest 61,217 57,332
Common dividends payable 97,895 95,988
Customer deposits 41,769 42,293
Liabilities from risk management activities (Note 15) 37,697 4,373
Liabilities for asset retirements (Note 11) 12,232 4,473
Operating lease liabilities (Note 8) 105,210 100,443
Less: current regulatory liabilities 271,575 296,271
Other current liabilities 148,276 151,968
Total current liabilities 1,762,141 1,756,869
DEFERRED CREDITS AND OTHER    
Deferred income taxes (Note 4) 2,384,421 2,311,862
Regulatory liabilities (Notes 1, 3, 4 and 7) 2,061,776 2,499,213
Liabilities for asset retirements (Note 11) 785,530 762,909
Liabilities for pension benefits (Note 7) 116,286 152,865
Customer advances 422,103 257,151
Coal mine reclamation 179,255 174,616
Deferred investment tax credit 180,677 186,570
Unrecognized tax benefits (Note 4) 38,658 4,657
Operating lease liabilities (Note 8) 639,247 728,401
Other 252,149 232,914
Total deferred credits and other 7,060,102 7,311,158
COMMITMENTS AND CONTINGENCIES (SEE NOTES)
TOTAL LIABILITIES AND EQUITY 22,723,405 22,003,222
Arizona Public Service Company    
PROPERTY, PLANT AND EQUIPMENT (Notes 1, 6 and 9)    
Plant in service and held for future use 22,448,685 21,685,200
Accumulated depreciation and amortization (7,926,575) (7,501,317)
Net 14,522,110 14,183,883
Construction work in progress 1,829,004 1,327,721
Palo Verde sale leaseback, net of accumulated depreciation of $260,754 and $256,884 (Note 17) 90,296 94,166
Intangible assets, net of accumulated amortization of $817,961 and $737,694 258,725 273,537
Nuclear fuel, net of accumulated amortization of $126,157 and $133,122 100,119 106,039
Total property, plant and equipment 16,800,254 15,985,346
INVESTMENTS AND OTHER ASSETS    
Nuclear decommissioning trusts (Notes 12 and 18) 1,073,410 1,294,757
Other special use funds (Notes 12 and 18) 347,231 358,410
Assets from risk management activities (Note 15) 44,394 46,908
Other assets 43,344 42,440
Total investments and other assets 1,508,379 1,742,515
CURRENT ASSETS    
Cash and cash equivalents 4,042 9,374
Customer and other receivables 448,880 390,533
Accrued unbilled revenues 164,764 133,980
Allowance for doubtful accounts (Note 2) (23,778) (25,354)
Materials and supplies (at average cost) 410,481 349,135
Fossil fuel (at average cost) 40,155 18,032
Income tax receivable (Note 4) 1,102 10,756
Assets from risk management activities (Note 15) 87,704 63,481
Deferred fuel and purchased power regulatory asset (Note 3) 460,561 388,148
Other regulatory assets (Note 3) 78,318 130,376
Other current assets 50,043 57,729
Total current assets 1,722,272 1,526,190
DEFERRED DEBITS    
Regulatory assets (Notes 1, 3 and 4) 1,283,221 1,192,987
Operating lease right-of-use assets (Note 8) 796,544 888,207
Assets for pension and other postretirement benefits (Note 7) 389,142 537,092
Other 44,040 37,319
Total deferred debits 2,512,947 2,655,605
TOTAL ASSETS 22,543,852 21,909,656
EQUITY    
Common stock 178,162 178,162
Additional paid-in capital 3,171,696 3,021,696
Retained earnings 3,607,464 3,470,235
Accumulated other comprehensive loss (Note 19) (15,596) (34,880)
Total shareholders’ equity 6,941,726 6,635,213
Noncontrolling interests (Note 17) 111,229 115,260
Total equity 7,052,955 6,750,473
LONG-TERM DEBT LESS CURRENT MATURITIES (Note 6) 6,793,529 6,266,693
Total capitalization 13,846,484 13,017,166
CURRENT LIABILITIES    
Short-term borrowings (Note 5) 325,000 278,700
Accounts payable 417,732 389,365
Accrued taxes 156,746 152,012
Accrued interest 60,518 56,622
Common dividends payable 97,900 96,000
Customer deposits 41,769 42,293
Liabilities from risk management activities (Note 15) 37,697 4,373
Liabilities for asset retirements (Note 11) 12,232 4,473
Operating lease liabilities (Note 8) 104,728 100,199
Less: current regulatory liabilities 271,575 296,271
Other current liabilities 144,733 145,286
Total current liabilities 1,670,630 1,565,594
DEFERRED CREDITS AND OTHER    
Deferred income taxes (Note 4) 2,385,647 2,331,701
Regulatory liabilities (Notes 1, 3, 4 and 7) 2,061,776 2,499,213
Liabilities for asset retirements (Note 11) 785,530 762,909
Liabilities for pension benefits (Note 7) 108,068 138,328
Customer advances 422,103 257,151
Coal mine reclamation 179,255 174,616
Deferred investment tax credit 180,677 186,570
Unrecognized tax benefits (Note 4) 38,658 37,423
Operating lease liabilities (Note 8) 634,199 726,572
Other 230,825 212,413
Total deferred credits and other 7,026,738 7,326,896
COMMITMENTS AND CONTINGENCIES (SEE NOTES)
TOTAL LIABILITIES AND EQUITY $ 22,543,852 $ 21,909,656