ML19319B339
| ML19319B339 | |
| Person / Time | |
|---|---|
| Site: | Davis Besse |
| Issue date: | 09/16/1975 |
| From: | Schwencer A Office of Nuclear Reactor Regulation |
| To: | Roe L TOLEDO EDISON CO. |
| References | |
| NUDOCS 8001150831 | |
| Download: ML19319B339 (6) | |
Text
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A DISTRIBUTION:
NRC PDR L PDR DocketFile Docket No.: 50-346 qo 13 1975 LWR 2-3 Rd f
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WMcDonald LWR TCs The Toledo Edison Company ELD ATTN: Mr. Lowell E. Roe
.IE (3)
Vice President, Facilities LEngle Development EGoulbourne Edison Plaza TR BC's 300 Madison Avenue LWR BC'c Toledo, Ohio 43652 ACRS (16)
TIC Gentlemen:
Pursuant to 10 CFR 50.33f and Appendix C, Part 50, the request for additional infomation provided in the enclosure to this Tetter is necessary in order that we may evaluate the financial qualifications of the Toledo Edison Company and Cleveland Electric Illuminating Company to operate the Davis-Besse Nuclear Power Station, Unit 1, and to pemanently shut the facility down and maintain it in a safe condition, ' ould that become necessary.
In order to maintain our licensing schedule, we will need your responsas to the enclosure by December 10, 1975, in order that our evaluation may be incorporated in the supplement to the Safety Evaluation Report presently scheduled to be issued on February 12, 1976.
If you cannot meet the response date, please inform us within seven (7) days after receipt of this lett9e so that we may revise our seneduling.
Please contact us if you have any questions regarding the enciesure provided.
Sincerely,
-223Rv A. Schwencer, Chief Light Water Reactors Branch 2-3 Division of Reactor Licensing
Enclosure:
Request for Financial Information
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9 Form AEC 318 (Rev. 9 53) ABCM 0240 W u. s. novsanusar painvine orricas not..eas-tes soonso $3/
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The Toledo Edison Co.
2-ces:- Donald H. Hauser, Esynire i The Cleveland Electric Illuminating Co.
P. 0_ Box 5000, Room 610 Cleveland,-Ohio 44101 Gerald Charnoff, Esquire Shaw, Pitt:aan, Potts, T;twbridge and Madden 910 - 17th Street, N. W.
Washington, D. C.
20006 Leslie Henry, Esquire Fuller, Seney, Henry & Hodge 300 Madison Avenue Toledo, Ohio 43604 bces:
J. R. Buchanan, ORNL T. B. Abernatny, DTIE
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Form MC.318 (Rev. 9 53) MCM 01,40 W u. s. oovenmusme eminvene orricas se74.sae-see
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REQUEST FOR ADDITIONAL FINANCIAL INFOR!'ATION DAVIS BESSE NUCLEAR POWER STATION - UNIT I DOCKET N0. 50-346 1.
Indicate the estimated annual costs by year to operate the subject facility for the first five years of commercial operation. The types of cost included in the estimate should be indicated and should include (but not necessarily be limited to) operation and maintenance expenses with fuel costs shown separately, depreciation, taxes, and required return on investment.
(Attached is a form which should be used for each year of the five-year period.)
Indicate the projected plant capacity factor for ea'ch year.
Indicate if the applicants expect to be able to sell power produced by the subject facility at rates which will cover all costs of pro-duction plus a reasonable return on invested capital.
For each company provide the unit price per KWh experienced on its system-wide sales of electric power to all customers by year for the most recent five-year period.
- 2. ~ Indicate the _ estimated costs of permanently shutting down the facility, a listing of what is included in such costs, the assumptions made in estimating the costs, the type of shutdown contemplated, and the source of funds Eto cover these costs.
3.
Provide an estimate of the annual cost to maintain the shutdown facility in a safe condition.
Indicate what is included in the estimate, assump-tions made in estimating the costs, and the source of funds to cover these costs.
4.
Explain the procedure to be used by Toledo Edison Company and Cleveland Electric Illuminating Company for billing their respective shares cf the total monthly operating costs of the unit. This may be answered by reference to pertinent portions of an agreement between the parties that are submitted in support of the application.
5.
Provide for each applicant:
a.
Copies of the 19751st quarter (and 2nd quarter, wten available) income and retained earnings statements and balance sheet. Also the same statements for the most recent 12 months' period and j.
corresponding periods ended in the previous year.
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- b. ' Copies of the 1974 Annuel Report to Stockholders and continue to submit copies of the Annual Report for each year thereafter as required by 10 CFR-50.71(b).
c.
Copies of the prospectus for the most recent security issue and-copie 3 of the preliminary _ prospectus for any pending security issue (s),
d.
Describe the nature and amount of the most recent rate relief
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action (s) and its anticipa:ed effect on earnings.
'rovide copies of the rate order.
In addition, indicate the nature and amount of any pending rate relief action (s). Use the attached form to provide this information.
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ATTACHMENT FOR ITEM NO. 1.
ESTIMATED IN'.'UAL COST C7 OPERi. TING NL' CLEAR GENEEATING
' UNIT:
FOR THE CALENDAR YF.AR 19 (thousands of dollars) 4 Operation and =sintenance execns'es Nuclear cotter 2eneraticn Nuclear fuci expense (plant factor
%)...............
Other operating expenses...................................
Ma in t e na nc e exp en s e s.......................................
Total nuclear power generation.................
Transmission expenses........................................
Ajministrative and eeneral exeenses Property and liability insurance...........................
Other A.6G.
expenses.......................................
Total A.&G.
cxpenses..............:...................
TOTAL Osh EXPES3ES....................................
Depreciation expense...........................................
Taxes other than inecta taxes Property taxes...............................................
Other........................................................
Total taxes other than inco=e taxes...................
Income taxes - Federal.........................................
Income taxes - other...........................................
Deferred incoce taxes - net..............
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Investment tax credit adjustments -
net........................
Return (rate of return:
%)............................
TOTAL ANNUAL COST OF OPERATION e
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...a ATTACMiENT FOR ITEM NO. 5d RATE DEVELOPMENTS Electric Gas Steam Grantad*
Annual amount - test year basis (000's)
Percent increase Effective date Rate of return on rate base authorized Rate of return on comon equity authorized Revenue Effect (000's)
. Amount received in year granted Amount received in subsequent year Pending P,ecuests Amount (000's)
Percent increase Date filed Date by which decisfon cust be issued Rate of return on rate base requested Rate of return on ce=en equity requested i
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- Provide copy of latest rate order
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