ML19289D801

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Forwards Addl Financial Info in Response to 780531 Request. Requests Proprietary Treatment for Certain Matl (Ref 10CFR2.790)
ML19289D801
Person / Time
Site: 05000471
Issue date: 06/23/1978
From: Rhonda Butler
BOSTON EDISON CO.
To: Parr O
Office of Nuclear Reactor Regulation
Shared Package
ML19289D799 List:
References
NUDOCS 7903140469
Download: ML19289D801 (2)


Text

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  • BOSTON EctsON COMPANY 4, Ocucmat Orncts 800 OcyLstow GTetrT B D ET Oh. Ma s s ACHU S ETTs 0 219 9 R stet M. OuTL[a MANA3CA Nu:LEam PaOJr;.f s C E*amTsdENT June 23, 1978 Olin D. Parr, Chief Light Water Reactors Branch No. 3 '

Division of Project Management Office of Nuclear Reactor Regulation ,'.

U.S. Nuclear Regulatory Commission Washington, D.C. 20555 In care of: ,

Mr. M. Licitra . z -

Light Water Reactors Branch No. 3 ", h Division of Project Management I -

Office of Nuclear Reactor Regulation U. S. Nuclear Reactor Regulation 7920 Norfolk Avenue Bethesda, Maryland 20014 Docket No. 50-471

Dear Mr. Parr:

In response to your May 31, 1978 request for further information we are submitting the items listed below. It is to be noted that certain identified items are being submitted separately accompanied by a letter of application requesting proprietary treatment pursuant to 10 CFR 52.790.

Items for which no proprietary treatment is requested

1. Monthly Financial Statements 'for each month of 1977.
2. Pro Forma' Sources of Funds for System-Wide Construction Expenditures and Capital Structure During Period of Con-struction of Subject Nuclear Power Plant - Assumes Rate .

Relief Allowed Based on DPU 19300 Principles.

3. Capital Expenditures 1978-85.
4. Agreement for Joint Ownership, Construction and Operation of Pilgrim Unit No. 2, dated October 13, 1972, as amenddd and supplemented.

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3r *ON EDl53N COMPANY Mr. O. D. Parr 2. June 23, 1978 c/o M. Licitra Items for which proprietary treatment is reouested (submitted senarately)_

Pl. Financial Schedules in Support of 10.5% Return on Common Equity for 1978 consistin9 of:

a) " Boston Edison Company Financial Forecast, 1978,"

Treasury Organization, March 9,1978.

b) Boston Edison Company Forecast of Net Income,1978, by Month (Revised May 9, 1978).

P2. Financial Schedules in Support of 11.9% Return on Common Equity for 1979.

P3. Financial Schedule in Support of Increased Cash Flow.

P4. Pro Forma Sources of Funds for System-Wide Construction Expendi-tures and Capital Structure During Period of Construction of Subject Nuclear Power Plant - Assumes Rate Relief Equivalent to 50% of Amounts Allowed Based on DPU 19300 Principles.

P5. Pro Forma Sources of Funds for System-Wide Construction Expendi-

. tures and Capital Structure During Period of Construction of Subject Nuclear Power Plant - Assumes Rate Relief Equivalent to 25% of Amounts Allowed F .-sed a,, opU 19300 Principles.

The material supplied with tiese two letters, together with information

, submitted on June 2,1978, cc.mpletes our. responses to you on this matter.

Very truly yours,

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WRG/cac O

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