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CONDENSED CONSOLIDATED BALANCE SHEETS, UTILITY - USD ($)
$ in Millions
Jun. 30, 2022
Dec. 31, 2021
Current Assets    
Cash and cash equivalents $ 239 $ 291
Restricted cash (includes $54 million and $4 million related to VIEs at respective dates) 76 16
Accounts receivable    
Customers (net of allowance for doubtful accounts of $184 million and $171 million at respective dates) (includes $1.89 billion and $2.06 billion related to VIEs, net of allowance for doubtful accounts of $184 million and $171 million at respective dates) 2,203 2,345
Accrued unbilled revenue (includes $845 million and $1.09 billion related to VIEs at respective dates) 962 1,207
Regulatory balancing accounts 3,870 2,999
Other 1,946 1,784
Regulatory assets 438 496
Inventories    
Gas stored underground and fuel oil 74 44
Materials and supplies 615 552
Wildfire Fund asset 461 461
Other 790 882
Total current assets 11,674 11,077
Property, Plant, and Equipment    
Electric 72,635 69,482
Gas 27,240 25,979
Construction work in progress 3,842 3,479
Financing lease and other 19 20
Total property, plant, and equipment 103,736 98,960
Accumulated depreciation (30,241) (29,134)
Net property, plant, and equipment 73,495 69,826
Other Noncurrent Assets    
Regulatory assets 15,215 9,207
Customer credit trust 478 0
Nuclear decommissioning trusts 3,291 3,798
Operating lease right of use asset 1,286 1,234
Wildfire Fund asset 5,082 5,313
Income taxes receivable 9 9
Other (includes noncurrent accounts receivable of $73 million and $187 million related to VIEs, net of noncurrent allowance for doubtful accounts of $7 million and $15 million at respective dates) 3,011 2,863
Total other noncurrent assets 28,372 22,424
TOTAL ASSETS 113,541 103,327
Current Liabilities    
Short-term borrowings 2,134 2,184
Long-term debt, classified as current (includes $96 million and $18 million related to VIEs at respective dates) 1,995 4,481
Accounts payable    
Trade creditors 3,029 2,855
Regulatory balancing accounts 1,594 1,121
Other 722 679
Operating lease liabilities 454 468
Interest payable (includes $36 million and $3 million related to VIEs at respective dates) 552 481
Wildfire-related claims 2,187 2,722
Other 2,340 2,436
Total current liabilities 15,007 17,427
Noncurrent Liabilities    
Long-term debt (includes $5.36 billion and $1.82 billion related to VIEs at respective dates) 44,174 38,225
Regulatory liabilities 16,946 11,999
Pension and other postretirement benefits 734 860
Asset retirement obligations 6,166 5,298
Deferred income taxes 3,020 3,177
Operating lease liabilities 959 810
Other 4,516 4,308
Total noncurrent liabilities 76,515 64,677
Shareholders' Equity    
Common stock, $5 par value, authorized 800,000,000 shares; 264,374,809 shares outstanding at respective dates 34,141 35,129
Reinvested earnings (8,511) (9,284)
Accumulated other comprehensive loss (25) (20)
Total shareholders' equity 21,767 20,971
TOTAL LIABILITIES AND EQUITY 113,541 103,327
Pacific Gas & Electric Co (Utility)    
Current Assets    
Cash and cash equivalents 122 165
Restricted cash (includes $54 million and $4 million related to VIEs at respective dates) 76 16
Accounts receivable    
Customers (net of allowance for doubtful accounts of $184 million and $171 million at respective dates) (includes $1.89 billion and $2.06 billion related to VIEs, net of allowance for doubtful accounts of $184 million and $171 million at respective dates) 2,203 2,345
Accrued unbilled revenue (includes $845 million and $1.09 billion related to VIEs at respective dates) 962 1,207
Regulatory balancing accounts 3,870 2,999
Other 1,756 1,932
Regulatory assets 438 496
Inventories    
Gas stored underground and fuel oil 74 44
Materials and supplies 615 552
Wildfire Fund asset 461 461
Other 778 869
Total current assets 11,355 11,086
Property, Plant, and Equipment    
Electric 72,635 69,482
Gas 27,240 25,979
Construction work in progress 3,842 3,480
Financing lease and other 18 18
Total property, plant, and equipment 103,735 98,959
Accumulated depreciation (30,240) (29,131)
Net property, plant, and equipment 73,495 69,828
Other Noncurrent Assets    
Regulatory assets 15,215 9,207
Customer credit trust 478 0
Nuclear decommissioning trusts 3,291 3,798
Operating lease right of use asset 1,285 1,232
Wildfire Fund asset 5,082 5,313
Income taxes receivable 7 7
Other (includes noncurrent accounts receivable of $73 million and $187 million related to VIEs, net of noncurrent allowance for doubtful accounts of $7 million and $15 million at respective dates) 2,872 2,706
Total other noncurrent assets 28,230 22,263
TOTAL ASSETS 113,080 103,177
Current Liabilities    
Short-term borrowings 2,134 2,184
Long-term debt, classified as current (includes $96 million and $18 million related to VIEs at respective dates) 1,968 4,455
Accounts payable    
Trade creditors 3,028 2,853
Regulatory balancing accounts 1,594 1,121
Other 664 648
Operating lease liabilities 453 467
Interest payable (includes $36 million and $3 million related to VIEs at respective dates) 500 430
Wildfire-related claims 2,187 2,722
Other 1,923 2,430
Total current liabilities 14,451 17,310
Noncurrent Liabilities    
Long-term debt (includes $5.36 billion and $1.82 billion related to VIEs at respective dates) 39,584 33,632
Regulatory liabilities 16,946 11,999
Pension and other postretirement benefits 639 764
Asset retirement obligations 6,166 5,298
Deferred income taxes 3,318 3,409
Operating lease liabilities 959 810
Other 4,559 4,345
Total noncurrent liabilities 72,171 60,257
Shareholders' Equity    
Preferred stock 258 258
Common stock, $5 par value, authorized 800,000,000 shares; 264,374,809 shares outstanding at respective dates 1,322 1,322
Additional paid-in capital 28,498 28,286
Reinvested earnings (3,607) (4,247)
Accumulated other comprehensive loss (13) (9)
Total shareholders' equity 26,458 25,610
TOTAL LIABILITIES AND EQUITY $ 113,080 $ 103,177