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Revenue (Tables)
6 Months Ended
Jun. 30, 2020
Revenue from Contract with Customer [Abstract]  
Summary of Revenue
The following table is a summary of SCE's revenue:
Three months ended June 30, 2020Three months ended June 30, 2019
(in millions)Earning
Activities
Cost-
Recovery
Activities
Total
Consolidated
Earning ActivitiesCost-Recovery ActivitiesTotal Consolidated
Revenues from contracts with customers1,2
$1,658  $1,220  $2,878  $1,532  $767  $2,299  
Alternative revenue programs and other operating revenue3
117  (15) 102   496  501  
Total operating revenue$1,775  $1,205  $2,980  $1,537  $1,263  $2,800  
Six months ended June 30, 2020Six months ended June 30, 2019
(in millions)Earning ActivitiesCost- Recovery ActivitiesTotal ConsolidatedEarning ActivitiesCost-Recovery ActivitiesTotal Consolidated
Revenues from contracts with customers1,2
$3,282  $1,938  $5,220  $3,034  $1,724  $4,758  
Alternative revenue programs and other operating revenue3
234  306  540  53  805  858  
Total operating revenue$3,516  $2,244  $5,760  $3,087  $2,529  $5,616  
In the absence of a 2018 GRC decision, SCE recognized CPUC revenue in the first quarter of 2019 based on the 2017 authorized revenue requirement adjusted mainly for the July 2017 cost of capital decision and Tax Reform. SCE recorded the impact of the 2018 GRC decision in the second quarter of 2019.
2 At June 30, 2020 and December 31, 2019, SCE's receivables related to contracts from customers were $1.3 billion and $1.1 billion, respectively, which include accrued unbilled revenue of $629 million and $488 million, respectively.
Includes differences between amounts billed and authorized levels for both the CPUC and FERC.