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LINES OF CREDIT (Tables)
9 Months Ended
Sep. 30, 2019
Line of Credit Facility [Abstract]  
Schedule of lines of credit
Credit facilities and available liquidity as of September 30, 2019 were as follows (in thousands):

CompanyTotal FacilityUsageAvailable LiquidityExpiration Date
SJI:          
SJI Syndicated Revolving Credit Facility$500,000  $352,400  (A)$147,600  August 2022
Revolving Credit Facility50,000  50,000  —  September 2020
Term Loan Credit Agreement100,000  100,000  —  September 2020
Total SJI650,000  502,400  147,600   
SJG:    
Commercial Paper Program/Revolving Credit Facility200,000  176,000  (B)24,000  August 2022
Uncommitted Bank Line10,000  —  10,000  September 2020
Total SJG210,000  176,000  34,000   
ETG/ELK:
ETG/ELK Revolving Credit Facility200,000  145,300  (C)54,700  June 2021
Total$1,060,000  $823,700  $236,300   

(A) Includes letters of credit outstanding in the amount of $9.6 million.
(B) Includes letters of credit outstanding in the amount of $0.8 million.
(C) Includes letters of credit outstanding in the amount of $1.0 million.