0000922224-20-000042.txt : 20200810 0000922224-20-000042.hdr.sgml : 20200810 20200810083144 ACCESSION NUMBER: 0000922224-20-000042 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 18 CONFORMED PERIOD OF REPORT: 20200810 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Regulation FD Disclosure ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20200810 DATE AS OF CHANGE: 20200810 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PPL Corp CENTRAL INDEX KEY: 0000922224 STANDARD INDUSTRIAL CLASSIFICATION: ELECTRIC SERVICES [4911] IRS NUMBER: 232758192 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-11459 FILM NUMBER: 201087249 BUSINESS ADDRESS: STREET 1: TWO N NINTH ST CITY: ALLENTOWN STATE: PA ZIP: 18101-1179 BUSINESS PHONE: 610-774-5151 MAIL ADDRESS: STREET 1: TWO N NINTH ST CITY: ALLENTOWN STATE: PA ZIP: 18101-1179 FORMER COMPANY: FORMER CONFORMED NAME: PPL CORP DATE OF NAME CHANGE: 20000214 FORMER COMPANY: FORMER CONFORMED NAME: PP&L RESOURCES INC DATE OF NAME CHANGE: 19941123 8-K 1 ppl-20200810.htm 8-K ppl-20200810
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
 
FORM 8-K
 
CURRENT REPORT
 
Pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934 
Date of Report (Date of earliest event reported):  August 10, 2020
 
Commission File
Number
Registrant;
State of Incorporation;
Address and Telephone Number
IRS Employer
Identification No.
   
1-11459PPL Corporation23-2758192
(Exact name of Registrant as specified in its charter)
Pennsylvania
Two North Ninth Street
Allentown,PA18101-1179
(610) 774-5151
 
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions:
Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))




Securities registered pursuant to Section 12(b) of the Act:
Title of each class
Trading Symbol:
Name of each exchange on which registered
Common Stock of PPL Corporation
PPL
New York Stock Exchange
Junior Subordinated Notes of PPL Capital Funding, Inc.
2007 Series A due 2067
PPL/67
New York Stock Exchange
2013 Series B due 2073
PPX
New York Stock Exchange

Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter). Emerging growth company

If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act. ☐



Section 2 - Financial Information
 
Item 2.02 Results of Operations and Financial Condition
 
On August 10, 2020, PPL Corporation ("PPL") issued a press release announcing its financial results for the quarter ended June 30, 2020 and other business matters. A copy of the press release is furnished as Exhibit 99.1 to this Current Report on Form 8-K.
 
Section 7 - Regulation FD
 
Item 7.01 Regulation FD Disclosure
 
On August 10, 2020, at 11:00 a.m. (Eastern Time), members of PPL's senior management will hold a teleconference and webcast with financial analysts to discuss PPL's financial results for the quarter ended June 30, 2020, and other business matters. The event will be available live, in audio format, together with the slides to be used during the teleconference, on PPL's Internet Web site: www.pplweb.investorroom.com/events. The webcast will be available for replay on PPL's Web site for 90 days.

In addition, on August 10, 2020, PPL issued a press release announcing that it is initiating a formal process to sell its U.K. utility business. PPL noted that there can be no assurance of any specific outcome, including whether the announcement will result in the completion of any potential transaction, the timing or terms thereof, the value or benefits that may be realized or the effect that any potential transaction will have on future financial results. A copy of the press release is furnished as Exhibit 99.2 to this Current Report on Form 8-K.

Section 9 - Financial Statements and Exhibits
 
Item 9.01 Financial Statements and Exhibits
(d)Exhibits
Press Release, dated August 10, 2020, announcing PPL's financial results for the quarter ended June 30, 2020, and other business matters.
Press Release, dated August 10, 2020, announcing PPL's initiation of a formal process to sell its U.K. utility business.
104 -Cover Page Interactive Data File (the Cover Page Interactive Data File is embedded within the Inline XBRL document).
As provided in General Instruction B.2 of Form 8-K, the information contained in Items 2.02 and 7.01 of this Form 8-K shall not be deemed to be "filed" for purposes of Section 18 of the Securities Exchange Act of 1934, as amended, nor shall any such information be deemed to be incorporated by reference in any filing under the Securities Act of 1933, as amended, except as shall be expressly set forth by specific reference in such a filing.










SIGNATURE
 
Pursuant to the requirements of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
  
PPL CORPORATION
By:/s/ Marlene C. Beers
Marlene C. Beers
Vice President and Controller
 
  
Dated:  August 10, 2020


EX-99.1 2 ppl-6302020exhibit991.htm EX-99.1 Document
Exhibit 99.1
news release
ppllogoa0111.jpg
www.pplnewsroom.com

Contacts:For news media: Ryan Hill, 610-774-5997
For financial analysts: Andy Ludwig, 610-774-3389
PPL Corporation Reports Second-Quarter 2020 Earnings

Announces second-quarter reported earnings of $0.45 per share and earnings from ongoing operations of $0.55 per share.
Reaffirms 2020 earnings from ongoing operations forecast range of $2.40 to $2.60 per share.
Withdraws guidance for 2021, reflecting company’s announced process to sell the U.K. business.

        ALLENTOWN, Pa. (Aug. 10, 2020) - PPL Corporation (NYSE: PPL) on Monday (8/10) announced second-quarter 2020 reported earnings (GAAP) of $344 million, or $0.45 per share, compared with second-quarter 2019 reported earnings of $441 million, or $0.60 per share.
Reported earnings for the first six months of 2020 were $898 million, or $1.17 per share, compared with $907 million, or $1.24 per share, for the first six months of 2019.
        Adjusting for special items, second-quarter 2020 earnings from ongoing operations (non-GAAP) were $427 million, or $0.55 per share, compared to $422 million, or $0.58 per share, a year ago.
        Earnings from ongoing operations for the first six months of 2020 were $941 million, or $1.22 per share, compared to $930 million, or $1.27 per share a year ago.
"Across PPL, we continue to deliver electricity and gas reliably, to respond effectively to severe weather and to invest in energy infrastructure as we navigate the difficult challenges of the COVID-19 pandemic," said Vince Sorgi, PPL president and chief executive officer. “Following Tropical Storm Isaias, PPL Electric Utilities restored power to all 70,000 affected customers within 48 hours despite widespread damage and flooding, underscoring our ability to perform well even in the worst of conditions.
"We also remain well-positioned financially, we’ve been very effective in minimizing the impact of COVID-19 on our workforce, we maintain access to the materials and equipment we need, and our capital plans remain on track as we’ve experienced minimal delays apart from the early lockdown phase in the U.K.," Sorgi said.
In addition to announcing earnings results, PPL reaffirmed its 2020 guidance range of $2.40 to $2.60 per share, with results expected to track toward the lower end of the guidance range due to COVID-19 and unfavorable weather impacts in the first half of the year. Results for the first six months of 2020 included an estimated $0.06 per share unfavorable impact due to COVID-19, driven largely by lower sale volumes in the U.K. The company said it expects the full-year impacts of the pandemic to be manageable.
Looking ahead, the company continues to maintain a strong liquidity profile, manageable near-term debt maturities, confidence in its ability to refinance debt when needed and a flexible capital plan with no major project risks.
As announced separately today, PPL is initiating a formal process to sell its U.K. utility business in order to unlock shareowner value and position PPL as a purely U.S.-focused utility holding company. The



decision to proceed with a sale process follows a comprehensive strategic review by PPL’s Board of Directors that assessed the company’s business mix and future growth opportunities.
The company said its use of proceeds from a sale would be focused on strengthening PPL’s balance sheet and enhancing the company’s long-term earnings growth, which could include supporting strategic growth opportunities in the U.S. and returning capital to shareowners
While there can be no assurance of any specific outcome, including whether it will result in the completion of any transaction, the company expects to announce a transaction in the first half of 2021. As a result, PPL is withdrawing its financial guidance for 2021.
        
Second-Quarter 2020 Earnings Details
        
        As discussed in this news release, reported earnings are calculated in accordance with U.S. Generally Accepted Accounting Principles (GAAP). "Earnings from ongoing operations" is a non-GAAP financial measure that is adjusted for special items. See the tables at the end of this news release for a reconciliation of reported earnings to earnings from ongoing operations, including an itemization of special items.
(Dollars in millions, except for per-share amounts)2nd Quarter Year to Date
20202019Change20202019Change
Reported earnings$344  $441  (22)%$898  $907  (1)%
Reported earnings per share$0.45  $0.60  (25)%$1.17  $1.24  (6)%
2nd Quarter Year to Date
20202019Change20202019Change
Earnings from ongoing operations$427  $422  %$941  $930  %
Earnings from ongoing operations per share$0.55  $0.58  (5)%$1.22  $1.27  (4)%






Second-Quarter 2020 Earnings by Segment

2nd Quarter Year to Date
Per share2020201920202019
Reported earnings
U.K. Regulated$0.23  $0.39  $0.67  $0.75  
Kentucky Regulated0.10  0.13  0.26  0.29  
Pennsylvania Regulated0.15  0.13  0.31  0.29  
Corporate and Other(0.03) (0.05) (0.07) (0.09) 
    Total$0.45  $0.60  $1.17  $1.24  
2nd Quarter Year to Date
2020201920202019
Special items (expense) benefit
U.K. Regulated$(0.10) $0.03  $(0.05) $(0.03) 
Kentucky Regulated—  —  —  —  
Pennsylvania Regulated—  —  —  —  
Corporate and Other—  (0.01) —  —  
Total$(0.10) $0.02  $(0.05) $(0.03) 
2nd Quarter Year to Date
2020201920202019
Earnings from ongoing operations
U.K. Regulated$0.33  $0.36  $0.72  $0.78  
Kentucky Regulated0.10  0.13  0.26  0.29  
Pennsylvania Regulated0.15  0.13  0.31  0.29  
Corporate and Other(0.03) (0.04) (0.07) (0.09) 
    Total$0.55  $0.58  $1.22  $1.27  


Key Factors Impacting Earnings

In addition to the segment drivers outlined below, PPL’s reported earnings for the second quarter of 2020 included net special-item after-tax charges of $83 million, or $0.10 per share, primarily from unrealized losses on foreign currency economic hedges and certain impacts related to COVID-19. Reported earnings for the second quarter of 2019 included net special-item after-tax benefits of $19 million, or $0.02 per share, primarily from unrealized gains on foreign currency economic hedges.
PPL's reported earnings for the first six months of 2020 included net special-item after-tax charges of $43 million, or $0.05 per share, from unrealized losses on foreign currency economic hedges and certain impacts related to COVID-19. Reported earnings for the first six months of 2019 included net special-item after-tax charges of $23 million, or $0.03 per share, primarily from unrealized losses on foreign currency economic hedges.

U.K. Regulated Segment
PPL’s U.K. Regulated segment consists of the regulated electricity delivery operations of Western Power Distribution (WPD), which serves Southwest and Central England and South Wales.



Reported earnings in the second quarter of 2020 decreased by $0.16 per share compared with a year ago. Earnings from ongoing operations in the second quarter of 2020 decreased by $0.03 per share compared with a year ago. Factors impacting second-quarter U.K. Regulated segment earnings results included $0.02 per share from the effect of dilution. Excluding dilution, factors driving earnings results included lower sales volumes primarily due to the impact of COVID-19 and lower pension income, offset by higher foreign currency exchange rates.
Reported earnings for the first six months of 2020 decreased by $0.08 per share compared with a year ago. Earnings from ongoing operations for the first six months of 2020 decreased by $0.06 per share compared with a year ago. Factors impacting six-month U.K. Regulated segment earnings results included $0.04 per share from the effect of dilution. Excluding dilution, factors driving earnings results included lower sales volumes primarily due to the impact of COVID-19, lower pension income and higher operation and maintenance expense, partially offset by higher foreign currency exchange rates and higher prices.

Kentucky Regulated Segment
PPL’s Kentucky Regulated segment primarily consists of the regulated electricity and natural gas operations of Louisville Gas and Electric Company and the regulated electricity operations of Kentucky Utilities Company.
Reported earnings and earnings from ongoing operations in the second quarter of 2020 decreased by $0.03 per share compared with a year ago. Factors driving second-quarter Kentucky Regulated segment earnings results included lower commercial and industrial demand revenue due to the impact of COVID-19 and higher income taxes due to a tax credit realized in the second quarter of 2019, partially offset by higher retail rates effective May 1, 2019.
Reported earnings and earnings from ongoing operations for the first six months of 2020 decreased by $0.03 per share compared with a year ago. Factors impacting six-month Kentucky Regulated segment earnings results included $0.01 per share from the effect of dilution. Excluding dilution, factors driving earnings results included lower commercial and industrial demand revenue due to the impact of COVID-19, lower sales volumes due to weather, higher income taxes due to a tax credit recognized in the second quarter of 2019 and higher depreciation, partially offset by higher retail rates effective May 1, 2019.

Pennsylvania Regulated Segment
PPL’s Pennsylvania Regulated segment consists of the regulated electricity delivery operations of PPL Electric Utilities.
Reported earnings and earnings from ongoing operations in the second quarter of 2020 increased by $0.02 per share compared with a year ago. Factors impacting Pennsylvania Regulated segment earnings results included $0.01 per share from the effect of dilution. Excluding dilution, factors driving earnings results included returns on additional capital investments in transmission, higher sales volumes due to weather and tax-related items, partially offset by higher operation and maintenance expense.
Reported earnings and earnings from ongoing operations for the first six months of 2020 increased by $0.02 per share compared with a year ago. Factors impacting six-month Pennsylvania Regulated segment earnings results included $0.01 per share from the effect of dilution. Excluding dilution, factors driving earnings results included returns on additional capital investments in transmission, partially offset by lower sales volumes due to weather.

Corporate and Other
PPL’s Corporate and Other category primarily includes unallocated corporate-level financing and other costs.



Reported earnings in the second quarter of 2020 increased by $0.02 per share compared with a year ago. Earnings from ongoing operations in the second quarter of 2020 increased by $0.01 per share. Excluding special items, factors driving earnings results included lower income taxes partially offset by higher interest expense.
Reported earnings and earnings from ongoing operations for the first six months of 2020 increased by $0.02 per share compared with a year ago. Excluding special items, factors driving earnings results primarily included lower income taxes.

        2020 Earnings Forecast

PPL reaffirmed its 2020 earnings from ongoing operations forecast range of $2.40 to $2.60 per share, with a midpoint of $2.50 per share. This factors in an estimated $0.06 per share unfavorable impact due to COVID-19 through the end of the second quarter.
Earnings from ongoing operations is a non-GAAP measure that could differ from reported earnings due to special items that are, in management's view, non-recurring or otherwise not reflective of the company's ongoing operations. PPL management is not able to forecast whether any of these factors will occur or whether any amounts will be reported for future periods. Therefore, PPL is not able to provide an equivalent GAAP measure for earnings guidance.
See the table at the end of this news release for a complete reconciliation of the earnings forecast.

        Headquartered in Allentown, Pennsylvania, PPL Corporation (NYSE: PPL) is one of the largest companies in the U.S. utility sector. PPL's seven high-performing, award-winning utilities serve more than 10 million customers in the U.S. and U.K. With more than 12,000 employees, the company is dedicated to providing exceptional customer service and reliability and delivering superior value for shareowners. To learn more, visit www.pplweb.com.
# # #

(Note: All references to earnings per share in the text and tables of this news release are stated in terms of diluted earnings per share unless otherwise noted.)

Conference Call and Webcast

PPL invites interested parties to listen to a live Internet webcast of management’s teleconference with financial analysts about second-quarter 2020 financial results at 11 a.m. Eastern time on Monday, Aug. 10. The call will be webcast live, in audio format, together with slides of the presentation. Slides will include information regarding PPL’s announcement that it is initiating a formal process to sell its U.K. business. For those who are unable to listen to the live webcast, a replay with slides will be accessible at www.pplweb.com/investors for 90 days after the call. Interested individuals can access the live conference call via telephone at 1-888-346-8683. International participants should call 1-412-902-4270. Participants will need to enter the following "Elite Entry" number to join the conference: 3493550. Callers can access the webcast link at www.pplweb.com/investors under “Events.”
# # #

Management utilizes “Earnings from Ongoing Operations” as a non-GAAP financial measure that should not be considered as an alternative to reported earnings, or net income, an indicator of operating performance determined in accordance with GAAP. PPL believes that Earnings from Ongoing Operations is useful and meaningful to investors because it provides management's view of PPL's earnings



performance as another criterion in making investment decisions. In addition, PPL’s management uses Earnings from Ongoing Operations in measuring achievement of certain corporate performance goals, including targets for certain executive incentive compensation. Other companies may use different measures to present financial performance.

Earnings from Ongoing Operations is adjusted for the impact of special items. Special items are presented in the financial tables on an after-tax basis with the related income taxes on special items separately disclosed. Income taxes on special items, when applicable, are calculated based on the statutory tax rate of the entity where the activity is recorded. Special items may include items such as:

Unrealized gains or losses on foreign currency economic hedges (as discussed below).
Gains and losses on sales of assets not in the ordinary course of business.
Impairment charges.
Significant workforce reduction and other restructuring effects.
Acquisition and divestiture-related adjustments.
Other charges or credits that are, in management's view, non-recurring or otherwise not reflective of the company's ongoing operations.

Unrealized gains or losses on foreign currency economic hedges include the changes in fair value of foreign currency contracts used to hedge British-pound-sterling-denominated anticipated earnings. The changes in fair value of these contracts are recognized immediately within GAAP earnings. Management believes that excluding these amounts from Earnings from Ongoing Operations until settlement of the contracts provides a better matching of the financial impacts of those contracts with the economic value of PPL’s underlying hedged earnings.

Statements contained in this news release, including statements with respect to future earnings, cash flows, dividends, financing, regulation and corporate strategy, including the process to sell PPL Corporation’s U.K. business, are “forward-looking statements” within the meaning of the federal securities laws. Although PPL Corporation believes that the expectations and assumptions reflected in these forward-looking statements are reasonable, these statements are subject to a number of risks and uncertainties, and actual results may differ materially from the results discussed in the statements. The following are among the important factors that could cause actual results to differ materially from the forward-looking statements: the novel coronavirus pandemic or other pandemic health events or other catastrophic events and their effect on financial markets, economic conditions and our businesses; market demand for energy in our U.S. service territories; weather conditions affecting customer energy usage and operating costs; the effect of any business or industry restructuring; the profitability and liquidity of PPL Corporation and its subsidiaries; new accounting requirements or new interpretations or applications of existing requirements; operating performance of our facilities; the length of scheduled and unscheduled outages at our generating plants; environmental conditions and requirements and the related costs of compliance; system conditions and operating costs; development of new projects, markets and technologies; performance of new ventures; asset or business acquisitions and dispositions, including our ability to successfully execute our plan to divest PPL Corporation’s U.K. business within the anticipated timeframe or any particular terms, if at all, or that such plan may not yield the anticipated benefits; any impact of severe weather on our business; receipt of necessary government permits, approvals, rate relief and regulatory cost recovery; capital market conditions and decisions regarding capital structure; the impact of state, federal or foreign investigations applicable to PPL Corporation and its subsidiaries; the outcome of litigation against PPL Corporation and its subsidiaries; stock price performance; the market prices of equity securities and the impact on pension income and resultant cash funding requirements for



defined benefit pension plans; the securities and credit ratings of PPL Corporation and its subsidiaries; political, regulatory or economic conditions in states, regions or countries where PPL Corporation or its subsidiaries conduct business, including any potential effects of threatened or actual cyberattack, terrorism, or war or other hostilities; British pound sterling to U.S. dollar exchange rates; new state, federal or foreign legislation, including new tax legislation; and the commitments and liabilities of PPL Corporation and its subsidiaries. Any such forward-looking statements should be considered in light of such important factors and in conjunction with factors and other matters discussed in PPL Corporation's Form 10-K and other reports on file with the Securities and Exchange Commission.

Note to Editors: Visit our media website at www.pplnewsroom.com for additional news and background about PPL Corporation.







PPL CORPORATION AND SUBSIDIARIES
CONDENSED CONSOLIDATED FINANCIAL INFORMATION (1)
Condensed Consolidated Balance Sheets (Unaudited)
(Millions of Dollars)
June 30,December 31,
20202019
Assets
Cash and cash equivalents$1,278  $815  
Accounts receivable771  792  
Unbilled revenues388  504  
Fuel, materials and supplies333  332  
Current price risk management assets234  147  
Other current assets264  177  
Property, Plant and Equipment
Regulated utility plant43,226  42,709  
Less: Accumulated depreciation - regulated utility plant8,261  8,055  
Regulated utility plant, net34,965  34,654  
Non-regulated property, plant and equipment452  357  
Less: Accumulated depreciation - non-regulated property, plant and equipment88  109  
Non-regulated property, plant and equipment, net364  248  
Construction work in progress1,456  1,580  
Property, Plant and Equipment, net36,785  36,482  
Noncurrent regulatory assets1,472  1,492  
Goodwill and other intangibles3,816  3,940  
Pension benefit asset740  464  
Noncurrent price risk management assets75  149  
Other noncurrent assets364  386  
Total Assets$46,520  $45,680  
Liabilities and Equity
Short-term debt$828  $1,151  
Long-term debt due within one year2,058  1,172  
Accounts payable804  956  
Other current liabilities1,478  1,621  
Long-term debt21,098  20,721  
Deferred income taxes and investment tax credits3,402  3,212  
Accrued pension obligations491  587  
Asset retirement obligations219  212  
Noncurrent regulatory liabilities2,539  2,572  
Other deferred credits and noncurrent liabilities559  485  
Common stock and additional paid-in capital12,263  12,222  
Earnings reinvested5,383  5,127  
Accumulated other comprehensive loss(4,602) (4,358) 
Total Liabilities and Equity$46,520  $45,680  


(1) The Financial Statements in this news release have been condensed and summarized for purposes of this presentation. Please refer to PPL Corporation's periodic filings with the Securities and Exchange Commission for full financial statements, including note disclosure.



 PPL CORPORATION AND SUBSIDIARIES
 Condensed Consolidated Statements of Income (Unaudited)
(Millions of Dollars, except share data)
Three Months Ended June 30,Six Months Ended June 30,
2020201920202019
Operating Revenues$1,739  $1,803  $3,793  $3,882  
Operating Expenses
Operation
Fuel138  168  301  362  
Energy purchases133  138  334  388  
Other operation and maintenance487  482  963  972  
Depreciation319  300  636  584  
Taxes, other than income67  75  147  155  
Total Operating Expenses1,144  1,163  2,381  2,461  
Operating Income595  640  1,412  1,421  
Other Income (Expense) - net76  131  201  183  
Interest Expense253  246  501  487  
Income Before Income Taxes418  525  1,112  1,117  
Income Taxes74  84  214  210  
Net Income$344  $441  $898  $907  
Earnings Per Share of Common Stock:
Net Income Available to PPL Common Shareowners:
Basic$0.45  $0.61  $1.17  $1.26  
Diluted$0.45  $0.60  $1.17  $1.24  
Weighted-Average Shares of Common Stock Outstanding (in thousands)
Basic768,768  721,785  768,358  721,406  
Diluted769,408  730,915  769,073  730,436  





 PPL CORPORATION AND SUBSIDIARIES
Condensed Consolidated Statements of Cash Flows (Unaudited)
(Millions of Dollars)
Six Months Ended June 30,
20202019
Cash Flows from Operating Activities
Net income $898  $907  
Adjustments to reconcile net income to net cash provided by operating activities
Depreciation636  584  
Amortization29  31  
Defined benefit plans - (income) expense(105) (135) 
Deferred income taxes and investment tax credits169  154  
Unrealized (gains) losses on derivatives, and other hedging activities25  22  
Other14  12  
Change in current assets and current liabilities
Accounts receivable10  22  
Accounts payable(98) (102) 
Prepayments(75) (79) 
Accrued interest(55) (63) 
Unbilled revenues107  70  
Regulatory assets and liabilities, net(47) (72) 
Other(38) (55) 
Other operating activities
Defined benefit plans - funding(193) (207) 
Other22  (19) 
Net cash provided by operating activities1,299  1,070  
Cash Flows from Investing Activities
Expenditures for property, plant and equipment(1,576) (1,474) 
Purchase of investments—  (55) 
Proceeds from the sale of investments 61  
Other investing activities(6) (11) 
Net cash used in investing activities(1,573) (1,479) 
Cash Flows from Financing Activities
Issuance of long-term debt1,598  769  
Retirement of long-term debt—  (200) 
Proceeds from project financing96  —  
Issuance of common stock33  35  
Payment of common stock dividends(636) (594) 
Issuance of term loan300  —  
Net increase (decrease) in short-term debt(619) 206  
Other financing activities(27) (18) 
Net cash provided by financing activities745  198  
Effect of Exchange Rates on Cash, Cash Equivalents and Restricted Cash(6) (4) 
Net Increase (Decrease) in Cash, Cash Equivalents and Restricted Cash465  (215) 
Cash, Cash Equivalents and Restricted Cash at Beginning of Period836  643  
Cash, Cash Equivalents and Restricted Cash at End of Period$1,301  $428  
Supplemental Disclosures of Cash Flow Information
Significant non-cash transactions:
Accrued expenditures for property, plant and equipment at June 30,$291  $278  
Accrued expenditures for intangible assets at June 30,$81  $59  




Key Indicators (Unaudited)
Twelve Months Ended
June 30
Financial20202019
Dividends declared per share of common stock$1.655  $1.645  
Book value per share (1)(2)
$16.97  $16.60  
Market price per share (1)
$25.84  $31.01  
Dividend yield6.4 %5.3 %
Dividend payout ratio (3)
72.3 %67.5 %
Dividend payout ratio - earnings from ongoing operations (3)(4)
69.0 %68.8 %
Return on common equity13.9 %15.0 %
Return on common equity - earnings from ongoing operations (4)
14.5 %14.7 %
Spot rate of U.S. dollar per British pound sterling for Balance Sheet translation (5)
$1.23  $1.29  
Average rate of U.S. dollar per British pound sterling for Statement of Income translation (6)
$1.46  $1.35  

(1) End of period.
(2) Based on 768,783 and 721,840 shares of common stock outstanding (in thousands) at June 30, 2020, and June 30, 2019.
(3) Based on diluted earnings per share.
(4) Calculated using earnings from ongoing operations, which is a non-GAAP financial measure that includes adjustments described in the text and tables of this news release.
(5) As of May 31, 2020, and November 30, 2019, as WPD is consolidated on a one-month lag.
(6) Represents a year-to-date average and includes the impact of foreign exchange hedges.




Operating - Domestic & International Electricity Sales (Unaudited)
Three Months Ended June 30,Six Months Ended June 30,
PercentPercent
(GWh)20202019Change20202019Change
PA Regulated Segment
Retail Delivered8,089  8,278  (2.3)%17,535  18,396  (4.7)%
KY Regulated Segment
Retail Delivered6,404  6,988  (8.4)%13,632  14,599  (6.6)%
Wholesale (1)
104  243  (57.2)%230  785  (70.7)%
Total6,508  7,231  (10.0)%13,862  15,384  (9.9)%
Total U.S.14,597  15,509  (5.9)%31,397  33,780  (7.1)%
U.K. Regulated Segment
Delivered15,774  17,841  (11.6)%35,672  37,823  (5.7)%

(1) Represents FERC-regulated municipal and unregulated off-system sales. KU's service to eight municipalities terminated effective April 30,
2019. KU continues to provide service to two municipalities.

Reconciliation of Segment Reported Earnings to Earnings from Ongoing Operations
(After-Tax)
(Unaudited)
2nd Quarter 2020(millions of dollars)
 U.K. KY PA Corp.
 Reg. Reg. Reg. & Other Total
Reported Earnings$179  $74  $118  $(27) $344  
Less: Special Items (expense) benefit:
Foreign currency economic hedges, net of tax of $17(65) —  —  —  (65) 
Talen litigation costs, net of tax of $0—  —  —  (2) (2) 
COVID-19 impact, net of tax of $4 (1)
(12) (4) —  —  (16) 
Total Special Items(77) (4) —  (2) (83) 
Earnings from Ongoing Operations$256  $78  $118  $(25) $427  
(per share - diluted)
 U.K. KY PA Corp.
 Reg. Reg. Reg. & Other Total
Reported Earnings$0.23  $$0.10  $$0.15  $$(0.03) $0.45  
Less: Special Items (expense) benefit:
Foreign currency economic hedges(0.08) —  —  —  (0.08) 
COVID-19 impact (1)
(0.02) —  —  —  (0.02) 
Total Special Items(0.10) —  —  —  (0.10) 
Earnings from Ongoing Operations$0.33  $0.10  $0.15  $(0.03) $0.55  

(1) COVID-19 impact relates to incremental costs for labor not chargeable to capital projects due to U.K. government lockdown restrictions,
outside services, customer payment processing, purchases of personal protective equipment and other safety related actions associated
with the COVID-19 pandemic.



Reconciliation of Segment Reported Earnings to Earnings from Ongoing Operations
(After-Tax)
(Unaudited)
Year-to-Date June 30, 2020(millions of dollars)
 U.K. KY PA Corp.
 Reg. Reg. Reg. & Other Total
Reported Earnings$519  $201  $236  $(58) $898  
Less: Special Items (expense) benefit:
Foreign currency economic hedges, net of tax of $6(23) —  —  —  (23) 
Talen litigation costs, net of tax of $1—  —  —  (4) (4) 
COVID-19 impact, net of tax of $4 (1)
(12) (4) —  —  (16) 
Total Special Items(35) (4) —  (4) (43) 
Earning from Ongoing Operations$554  $205  $236  $(54) $941  
(per share - diluted)
 U.K. KY PA Corp.
 Reg. Reg. Reg. & Other Total
Reported Earnings$0.67  $0.26  $0.31  $(0.07) $1.17  
Less: Special Items (expense) benefit:
Foreign currency economic hedges(0.03) —  —  —  (0.03) 
COVID-19 impact (1)
(0.02) —  —  —  (0.02) 
Total Special Items(0.05) —  —  —  (0.05) 
Earnings from Ongoing Operations$0.72  $0.26  $0.31  $(0.07) $1.22  

(1) COVID-19 impact relates to incremental costs for labor not chargeable to capital projects due to U.K. government lockdown restrictions,
outside services, customer payment processing, purchases of personal protective equipment and other safety related actions associated with
the COVID-19 pandemic.



Reconciliation of Segment Reported Earnings to Earnings from Ongoing Operations
(After-Tax)
(Unaudited)
2nd Quarter 2019(millions of dollars)
 U.K. KY PA Corp.
 Reg. Reg. Reg. & Other Total
Reported Earnings$284  $97  $94  $$(34) $441  
Less: Special Items (expense) benefit:
Foreign currency economic hedges, net of tax of ($7)24  —  —  —  24  
Talen litigation costs, net of tax of $1—  —  —  (1) (1) 
Other, net of tax of $1(4) —  —  —  (4) 
Total Special Items 20  —  —  —  (1) 19  
Earnings from Ongoing Operations$264  $97  $94  $(33) $422  
(per share - diluted)
 U.K. KY PA Corp.
 Reg. Reg. Reg. & Other Total
Reported Earnings$0.39  $$0.13  $$0.13  $$(0.05) $0.60  
Less: Special Items (expense) benefit:
Foreign currency economic hedges0.04  —  —  —  0.04  
Talen litigation costs—  —  —  (0.01) (0.01) 
Other(0.01) —  —  —  (0.01) 
Total Special Items 0.03  —  —  (0.01) 0.02  
Earnings from Ongoing Operations$0.36  $0.13  $0.13  $(0.04) $0.58  




Reconciliation of Segment Reported Earnings to Earnings from Ongoing Operations
(After-Tax)
(Unaudited)
Year-to-Date June 30, 2019(millions of dollars)
 U.K. KY PA Corp.
 Reg. Reg. Reg. & Other Total
Reported Earnings $548  $214  $215  $(70) $907  
Less: Special Items (expense) benefit:
Foreign currency economic hedges, net of tax of $4(16) —  —  —  (16) 
Talen litigation costs, net of tax of $1—  —  —  (3) (3) 
Other, net of tax of $1(4) —  —  —  (4) 
Total Special Items (20) —  —  (3) (23) 
Earnings from Ongoing Operations$568  $214  $215  $(67) $930  
(per share - diluted)
 U.K. KY PA Corp.
 Reg. Reg. Reg. & Other Total
Reported Earnings $0.75  $0.29  $0.29  $(0.09) $1.24  
Less: Special Items (expense) benefit:
Foreign currency economic hedges(0.02) —  —  —  (0.02) 
Other(0.01) —  —  —  (0.01) 
Total Special Items (0.03) —  —  —  (0.03) 
Earnings from Ongoing Operations$0.78  $0.29  $0.29  $(0.09) $1.27  





Reconciliation of PPL's Earnings Forecast
After-tax (Unaudited)
(per share - diluted)
2020 Forecast Range
MidpointHighLow
Estimate of Reported Earnings$2.45  $2.55  $2.35  
Less: Special Items (expense) benefit:(1)
Foreign currency economic hedges(0.03) (0.03) (0.03) 
COVID-19 impact (2)
(0.02) (0.02) (0.02) 
Total Special Items(0.05) (0.05) (0.05) 
Forecast of Earnings from Ongoing Operations$2.50  $2.60  $2.40  

(1) Reflects only special items recorded through June 30, 2020. PPL is not able to forecast special items for future periods.
(2) COVID-19 impact relates to incremental costs for labor not chargeable to capital projects due to U.K. government lockdown restrictions,
outside services, customer payment processing, purchases of personal protective equipment and other safety related actions associated
with the COVID-19 pandemic.

EX-99.2 3 ppl-6302020exhibit992.htm EX-99.2 Document
Exhibit 99.2
news release
ppllogoa0112.jpg
www.pplnewsroom.com
Contacts:For news media: Ryan Hill, 610-774-5997
For financial analysts: Andy Ludwig, 610-774-3389

PPL Corporation launches process to sell U.K. business, reposition itself as U.S.-focused utility company

Planned sale process follows comprehensive strategic review; expected to unlock shareowner value and strengthen focus on U.S. growth

ALLENTOWN, Pa. (Aug. 10, 2020) – PPL Corporation (NYSE: PPL) announced today that it is initiating a formal process to sell its U.K. utility business in order to position PPL as a purely U.S.-focused utility holding company and create additional shareowner value. The decision to proceed with the sale process follows a comprehensive strategic review by PPL’s Board of Directors that assessed the company’s business mix and future growth opportunities.

"We believe there is an opportunity to unlock significant value for PPL shareowners through the sale of Western Power Distribution (WPD) and the strategic repositioning of PPL’s portfolio to be fully U.S.-based," said Vincent Sorgi, PPL president and chief executive officer.

"WPD is a very strong business that continues to perform exceptionally well as the premier distribution network operator (DNO) group in the U.K., but we believe it continues to be undervalued by the market as part of PPL. We believe that greater value can be achieved for PPL shareowners through a sale of the U.K. business and use of proceeds that would be focused on strengthening PPL’s balance sheet and enhancing the company’s long-term earnings growth, which could include supporting strategic growth opportunities in the U.S. and returning capital to shareowners.

"Ultimately, we believe the divestment of WPD will simplify PPL’s business mix, provide the company greater financial flexibility and create a sharpened focus on building tomorrow’s energy infrastructure and advancing a cleaner energy future in the U.S.," said Sorgi.

The company said it expects to evaluate a variety of offers for the purchase of WPD, including all cash or a combination of cash and U.S. utility assets.

WPD consists of four DNOs in the U.K. that have outstanding track records of performance, earning more performance incentive revenues under U.K. regulation than every other DNO group in the U.K. WPD, which serves about 8 million customers in central and southwest England and south Wales, is expected to play a critical role in supporting the U.K.’s transition to net-zero carbon emissions by 2050, providing significant future investment opportunities and regulated asset value growth.

PPL noted that a sale of WPD in the near term would provide the new owner an opportunity to influence WPD’s business plans for RIIO-ED2, the next U.K. price control period for electric distribution



companies. The business plans are expected to be filed with the U.K. regulator, Ofgem, in mid-2021. RIIO-ED2 will begin in April 2023 and ends in March 2028.

PPL has engaged JP Morgan Securities LLC to act as its financial advisor to assist with the sale process, with the intent to announce a transaction in the first half of 2021. PPL noted that there can be no assurance of any specific outcome, including whether the announcement will result in the completion of any potential transaction, the timing or terms thereof, the value or benefits that may be realized from any potential transaction, or the effect that any potential transaction will have on future financial results. The company does not intend to provide interim updates on the progress of this process unless and until a definitive agreement is signed or the company believes disclosure is appropriate.

Conference Call

PPL will address the planned sale of WPD during a live Internet webcast of management’s teleconference about second-quarter 2020 financial results at 11 a.m. Eastern time on Monday, Aug. 10. The call will be webcast live, in audio format, together with slides of the presentation. Interested individuals can access the live conference call via telephone at 1-888-346-8683. International participants should call 1-412-902-4270. Participants will need to enter the following "Elite Entry" number to join the conference: 3493550.

Callers can access the webcast link at www.pplweb.com/investors under “Events.” For those who are unable to listen to the live webcast, a replay with slides will be accessible at www.pplweb.com/investors for 90 days after the call.

Headquartered in Allentown, Pa., PPL Corporation (NYSE: PPL) is one of the largest companies in the U.S. utility sector. PPL’s seven high-performing, award-winning utilities serve more than 10 million customers in the U.S. and United Kingdom. With more than 12,000 employees, the company is dedicated to providing exceptional customer service and reliability and delivering superior value for shareowners. To learn more, visit www.pplweb.com.

# # #

Statements contained in this presentation, including statements with respect to future earnings, cash flows, dividends, financing, regulation and corporate strategy, including the process to sell PPL Corporation’s U.K. business, are “forward-looking statements” within the meaning of the federal securities laws. Although PPL Corporation believes that the expectations and assumptions reflected in these forward-looking statements are reasonable, these statements are subject to a number of risks and uncertainties, and actual results may differ materially from the results discussed in the statements. The following are among the important factors that could cause actual results to differ materially from the forward-looking statements: the novel coronavirus pandemic or other pandemic health events or other catastrophic events and their effect on financial markets, economic conditions and our businesses; market demand for energy in our U.S. service territories; weather conditions affecting customer energy usage and operating costs; the effect of any business or industry restructuring; the profitability and liquidity of PPL Corporation and its subsidiaries; new accounting requirements or new interpretations or applications of existing requirements; operating performance of our facilities; the length of scheduled and unscheduled outages at our generating plants; environmental conditions and requirements and the related costs of compliance; system conditions and operating costs; development of new projects, markets and technologies; performance of new ventures; asset or business acquisitions and dispositions, including our ability to successfully execute our plan to divest PPL Corporation’s U.K. business within



the anticipated timeframe or on any particular terms, if at all, or that such plan may not yield the anticipated benefits; any impact of severe weather on our business; receipt of necessary government permits, approvals, rate relief and regulatory cost recovery; capital market conditions and decisions regarding capital structure; the impact of state, federal or foreign investigations applicable to PPL Corporation and its subsidiaries; the outcome of litigation against PPL Corporation and its subsidiaries; stock price performance; the market prices of equity securities and the impact on pension income and resultant cash funding requirements for defined benefit pension plans; the securities and credit ratings of PPL Corporation and its subsidiaries; political, regulatory or economic conditions in states, regions or countries where PPL Corporation or its subsidiaries conduct business, including any potential effects of threatened or actual cyberattack, terrorism, or war or other hostilities; British pound sterling to U.S. dollar exchange rates; new state, federal or foreign legislation, including new tax legislation; and the commitments and liabilities of PPL Corporation and its subsidiaries. Any such forward-looking statements should be considered in light of such important factors and in conjunction with factors and other matters discussed in PPL Corporation's Form 10-K and other reports on file with the Securities and Exchange Commission.

Note to Editors: Visit our media website at www.pplnewsroom.com for additional news and background about PPL Corporation.


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Document and Entity Information Document and Entity Information
Aug. 10, 2020
Document Entity Information [Line Items]  
Amendment Flag false
Entity Central Index Key 0000922224
Entity Emerging Growth Company false
Written Communications false
Document Type 8-K
Entity File Number 1-11459
Entity Registrant Name PPL Corporation
Entity Tax Identification Number 23-2758192
Entity Incorporation, State or Country Code PA
Entity Address, Address Line One Two North Ninth Street
Entity Address, City or Town Allentown,
Entity Address, State or Province PA
Entity Address, Postal Zip Code 18101-1179
City Area Code (610)
Local Phone Number 774-5151
Document Period End Date Aug. 10, 2020
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Common Stock [Member]  
Document Entity Information [Line Items]  
Title of 12(b) Security Common Stock of PPL Corporation
Trading Symbol PPL
Security Exchange Name NYSE
2007 Series A Due 2067 [Member]  
Document Entity Information [Line Items]  
Title of 12(b) Security 2007 Series A due 2067
Trading Symbol PPL/67
Security Exchange Name NYSE
2013 Series B Due 2073 [Member]  
Document Entity Information [Line Items]  
Title of 12(b) Security 2013 Series B due 2073
Trading Symbol PPX
Security Exchange Name NYSE
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