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CALIFORNIA UTILITIES' REGULATORY MATTERS (Tables)
9 Months Ended
Sep. 30, 2016
Regulated Operations [Abstract]  
Schedule of Regulatory Matters
We discuss the California Utilities’ major projects in detail in Note 14 of the Notes to Consolidated Financial Statements in the Annual Report, and provide updates to those discussions and details in the tables below.
MAJOR PROJECTS – UPDATES
 
Joint Utilities Projects
Southern Gas System Reliability Project (North-South Pipeline)
In July 2016, the CPUC issued a final decision which denies the California Utilities’ request for a permit to construct.
In June 2016, SoCalGas recorded an after-tax impairment charge of $13 million for the development costs it had invested in the project. The pretax charge of $22 million is included in Impairment Losses on Sempra Energy’s and SoCalGas’ Condensed Consolidated Statements of Operations for the nine months ended September 30, 2016. We expect to make a filing to the CPUC seeking recovery of all or a portion of these costs.
Pipeline Safety & Reliability Project
SDG&E and SoCalGas filed an amended application with the CPUC in March 2016 providing detailed analysis and testimony supporting the proposed project. The revised request also presents additional information on the costs and benefits of project alternatives, safety evaluation and compliance analysis, and statutory and procedural requirements. SDG&E and SoCalGas seek approval to construct the proposed project, estimated at a cost of $633 million, and authority to recover the associated revenue requirement in rates.
 
 
SDG&E Projects
Cleveland National Forest (CNF) Transmission Projects
In May 2016, the CPUC issued a final decision granting SDG&E a permit to construct. The project will be installed at an estimated cost of $680 million: $470 million for the various transmission-level facilities and $210 million for associated distribution-level facilities, including distribution circuits and additional undergrounding required by the final environmental impact statement.
In July 2016, the Cleveland National Forest Foundation and the Protect Our Communities Foundation filed a joint application for rehearing of the final decision.
Sycamore-Peñasquitos Transmission Project
In October 2016, the CPUC issued a final decision granting SDG&E a Certificate of Public Convenience and Necessity (CPCN) to construct the project, with a cost cap of $260 million.
South Orange County Reliability Enhancement
CPUC issued its final environmental impact report (EIR) for the project in April 2016. The EIR concluded that an alternative project is considered environmentally superior to SDG&E’s proposal. The final EIR states that the CPUC is not required to adopt the environmentally superior alternative if there are overriding considerations in favor of another alternative. The CPUC will consider the findings in determining whether to approve SDG&E’s proposed project or an alternative to it.
In September 2016, draft and alternate decisions were issued by the Administrative Law Judge (ALJ) and Assigned Commissioner. The ALJ decision rejects SDG&E’s proposed project and grants a CPCN to construct the project identified as environmentally superior in the final EIR. The Assigned Commissioner decision determines that the environmentally superior project is infeasible and, given overriding considerations, grants SDG&E a CPCN to construct its proposed project with a project cost cap of $381 million.
Final CPUC decision expected in fourth quarter of 2016.
Energy Storage Projects
In August 2016, the CPUC approved SDG&E’s request to own and operate two energy storage projects totaling 37.5 MW. The purpose of the two projects is to enhance electric reliability in the San Diego service territory.
Expected completion in the first quarter of 2017.
 
Following is a summary of immediate earnings impacts from the 2016 GRC FD recorded in the second quarter of 2016:
EARNINGS IMPACTS FROM THE 2016 GRC FD RECORDED IN THE SECOND QUARTER OF 2016
(Dollars in millions)
 
SoCalGas
 
SDG&E
 
Pretax
earnings
(charge)
 
After-tax
earnings
(charge)
 
Pretax
earnings
(charge)
 
After-tax
earnings
(charge)
Retroactive revenue requirement increase
 
 
 
 
 
 
 
for the first quarter of 2016
$
20

 
$
12

 
$
15

 
$
9

Adjustments to revenue related to tax
 
 
 
 
 
 
 
repairs deductions:
 
 
 
 
 
 
 
2015 memorandum account balance
$
(72
)
 
$
(43
)
 
$
(37
)
 
$
(22
)
True-up of 2012-2014 estimates to actuals
(11
)
 
(6
)
 
(15
)
 
(9
)
Total
$
(83
)
 
$
(49
)
 
$
(52
)
 
$
(31
)