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Revenue (Tables)
9 Months Ended
Sep. 30, 2021
Revenue from Contract with Customer [Abstract]  
Summary of Revenue

Three months ended September 30, 2021

Three months ended September 30, 2020

Cost-

Cost- 

Earning

 Recovery

Total

Earning 

Recovery 

Total 

(in millions)

    

 Activities

    

 Activities

Consolidated

    

Activities

    

Activities

    

Consolidated

Revenues from contracts with customers1,2

$

2,260

$

2,804

$

5,064

$

1,893

 

$

2,327

 

$

4,220

Alternative revenue programs and other operating revenue3

 

135

 

94

 

229

 

233

 

182

 

415

Total operating revenue

$

2,395

$

2,898

$

5,293

$

2,126

$

2,509

$

4,635

Nine months ended September 30, 2021

Nine months ended September 30, 2020

Cost-

Cost- 

Earning

 Recovery

Total

Earning 

Recovery 

Total 

(in millions)

    

 Activities

    

 Activities

Consolidated

    

Activities

    

Activities

    

Consolidated

Revenues from contracts with customers1,2

$

5,667

$

5,422

$

11,089

$

5,175

 

$

4,265

 

$

9,440

Alternative revenue programs and other operating revenue3

 

325

 

138

 

463

 

467

 

488

 

955

Total operating revenue

$

5,992

$

5,560

$

11,552

$

5,642

$

4,753

$

10,395

1The revenue requirements in the 2021 GRC final decision are retroactive to January 1, 2021. SCE recorded the impact of the 2021 GRC decision in third quarter of 2021, including $404 million related to the six-month period ended June 30, 2021.
2At September 30, 2021 and December 31, 2020, SCE's receivables related to contracts from customers were $2.8 billion and $1.5 billion, respectively, which include accrued unbilled revenue of $1.1 billion and $521 million, respectively.
3Includes differences between amounts billed and authorized levels for both the CPUC and FERC.