ML20062J322
| ML20062J322 | |
| Person / Time | |
|---|---|
| Site: | Crane |
| Issue date: | 10/06/1980 |
| From: | Sweeney L JERSEY CENTRAL POWER & LIGHT CO. |
| To: | Vollmer R Office of Nuclear Reactor Regulation |
| References | |
| NUDOCS 8010090389 | |
| Download: ML20062J322 (21) | |
Text
{{#Wiki_filter:_ _ _ _ _. Jersey Central Power & Ught Company
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- son Avenue at auneneceiacao Mornstown, New Jersey 07960 (20 H 55 m October 6,1980 Mr. Richard H. Vollmer Director, Three Mile Island-2 Support Office of Nuclear Reactor Regulation U.S. Nuclear Regulatory Commission 7920 Norfolk Avenue Bethesda, MD 20014 Re: NRC Ibcket No. 50-289 - TMI-l Restart Proceeding
Dear Mr. Vollmer:
By your letter dated September 21, 1979, to R. C. Arnold, and Mr. J. C. Petersen's data requests sent to C. W. Smyth on November 9,1979, you requested us to keep the NRC informed of significant regulatory developments affecting the GPU co@anies. Accordingly, the enclosed material (8 copies) has been sent for that purpose. Attached please find the following data related to NJBPU Docket No. 804-285. Data Responses: First Information Request of the Federal Executive Agencies Nos. 28, 29, 38, 42, 43, 45, and 47. Third Information Request of the Federal Executive Agencies No. 4. Exhibits filed on October 1st or 2nd, 1980. Exhibit No. JC-107 Witness: P. Preis Exhibit No. JC-301B Wintess: D. Baldassari Exhibit No. JC-317 Witness: D. Baldassari Exhibit No. JC-108 Witness: P. Preis Exhibit No JC-109 Witness: P. Preis Very truly yours, WM t, % l, (( t Lawrence E. Sweeney Rate Department rc THIS DOCUMENT CONTAINS /)[) h riowicz (w/ enc) POOR QUAllTY PAGES J. Petersen D. Carroll (w/o enc) e 8 010090 369 t bJsey'dN' hewer & L.cht Cornoary is a Verreer et me General Pocuc Utit:es System U
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.T' Jersey Central Power & Light Company ( f F J f.' a :n /c. -ne.3; Pun: n Ba.si floaj <% L ' 78 -, r. t - r4.w . verse, u. :uva , m:- (201) 455 KJU October 2,1980
Subject:
Jersey Central Po'..er & Light Company Docket tio. 304-285 Responses to FEA Data Requests To: Service List Attached please find responses to cata request as follous: First Infonna' ion Request of ti.e Federal Executive Agencies I;o. 23, 29, 13, 42, 43, 45 and 47. Third Information Request No. 4 '!ery truly yours, m (' D. Baldassari Treasurer i,.. s .<18 3 8.
1st Prquest 1 nD ";; (Baldassari) JER5EY CENTRAL PO'.-lER J. LIGHT CO FANY Dod et No. 804-285 (a) and (b) The Cocpany's prest it ;)lan for the sale of any securities is detailed in Mr. Baldass.iri's Exhibit No. 302-B at an assu::.ed interest rate of 14; O e 3, a mM
4 \\ i 4 h i Isf Request i (1011-79 (Bit ida ssa ri ) l l a i JLRLEY CLflTRAL P0h'ER f. LIGHT COMi'AtlY j ._._._ _ _ Docket,fio. 804-285,,_,___ _, i i Ref erence is nide to Mr. Baldassari's Exhibit flos. 302-A and 316 j for details pertaining to the level of internal sources of funds to support a S the capital expenditures on Exhibits 301 and 301-A, respectively. I I l i i i i i 1 l i i e [ i I 6 i t =..
a 4 1st Request DOD-18 (Baldassari) t f-l i I i JERSEY CEtiTRAL POWER f. LIGHT C0 4 pat;Y t Docket fio. 804-285 Deferred Energy Costs Balance at June 30, 1980 4 l 4 1 j. Amount deferred prior to 8-31-77 $ 46,901,808 I t l Amount deferred - current $_88_,906,107 _7 i i Total $135,807,915
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!*.t thiquest lJor.47 (Baldassari) JERSEY CEflTRAL POWER & LIG11T COMPA!iY Docket tio. 804-285 RE: Exhibit flo. JC-301 i Generation Forked River-amounts reflect expenditures at the Company's Forked River generatint; station site for site traintenance and amounts due contractors due to the terms of contracts All other-amounts reflect anticipated expenditures at the Company's generating stations for capitalized outage costs, plant itprovements and other necessary projects. fluclear Fuel - umounts reflect expenditures to purchase, convent, enrich and fabricate uranium ore into nuclear fuel assemblics for. use at the Company's nuclear generating stations. Transmission - amounts reflect anticipated expenditures for construction of major substations and connective lines prinarily for the Company's 500KV, 230KV and 125KV systems. Distribution - an unts reflect anticipated expenditures primarily for
- 1. < ovement to and construction of the Company's 115KV and 34.5KV system which includes poles, transforcers and new custon'er connections.
Other amounts reflect expenditures for improvements to the Company's-properties not related to generation, transmission and distribution properties. Contract Retentions - represents liabilities of the Company for amounts due vendors of the Company for work performed or goods received and delivered for which the Company has deferred payment.
. ~ ~. _ - i lst Request D00-43 (Baldassari) 4 e JERSEY CEf! TRAL POWER !. LIG!!T COMPAriY Docket flo. 804-285 4 Response to this request will be answered in connection with questions raised in the 4th Infortnation Request from your office. l 4 ) a 4 ) l + 3 1 4 5 i
r ist Request D00-45 (Ba ld.1ssari ) t JERSEY CErlTRAL POWER & LIGHT C0fiPAfiY j Do c k e t _ f!_o_. 804-285 i RE: JC-305 (a). The at:nont of rate increase assu:r.ed for the p eparation of Exhibit !!o. JC-305 was $60 million as shown on the line entitled "R,ite increase ef fective 6-1-80". Rate iricrease assumptions for JC-305-A are outlined thereon. i (b) See attached. i i 2 f l 7 9 ) i t 's 4 i l l ~
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i l,t I'm pms t 00:1-1/ i (!!a l da s sa r i ) JER5LY CEifIRAl. POWER ?. LITT C0! IPA!;Y ~ Lt.c ' e t f;o. 304-285 r (a) At !! arch 31, 1900, ti,e Company's legal borroviing limit under the terr:s of its can Charter Limitation (See Exhibit T;o. JC-306) was $154 million. Tim Company's borroainq limit under the negotiated terms of the Revolving Credit Agreeaent totaled 513] uillion. (b and c) The legal t orrowing limits of all GPU operating cc::panies and the ar:ounts outstanding on 7-31-80 are as follows: (in Thousands) J C Pj.L ilet-Ed Peneler: GPU Corp. Charter Lin,itation $156,000 $ 98,000 5120,000 SEC authorization 5156,000 (a) 5125,000 $116,000 $150,000 RCA Limit (b) $!39,000 $105,C00 !!16,000 $ 75,000 Current balance outstanding $133,000 $ 70,0C0 5 $ 48,000 tiO TES: (a ) JCP?.t. 's SEC au tho riza tion, the lessor of a) $160 million or b) the amount pen:;itted under its Charter Limitation. (D) The limit for total GPU Systeu borrowin:;s under the Revolving Credit Agreement i*, $292 nillion. Upon approval of a majority of the banks in the agree::.ent this anount may be raised to $411 million. Obi 4Nb
3rd Request DUD-4 (Baldassari) JERSEY CE!! TRAL POWER F. LIGHT COPPA:n Docket fio. 804-285 Workpapers used in the preparation of Mr. Baldassari's testin:ony and exhibits are based on data submitted as Exhibit flos. JC-302-A and JC-316. i
i .' ( li [ JERSEY CENTRAL M t. !.! Gilt COMPANY IM c '< 404-2H5 ,2 crating Income St at emen t Actual vn. Budget (9*3 in t h n-To-Date August 1980 (U J's) ~j uc cc. h Actual Budget (Decr ase) Revenues - Base $413 191 $407 241 $ 5 950 - Fuel Clause 162 4/G 142 059 20 407 i Total Revenues $575 657 $549 300 S 26 357 Operating Expenses: Fuel S 97 826 $110 479 $(12 653) Purch. Powar & Interchange (net) 241 771 211 056 30 715 DtferrcJ Energy (62 596) (67 909) 5 311 Ret.crve Capacity 4 575 7 394 (2 819) Payroll 41 020 37 714 3 306 Other usM 70 259 58 127 12 132 Total O&M $392 853 $356 661 S 35 992 Depreciation 39 146 39 481 (335) Dec ommi s s i on i n g 1 040 1 041 (1) Taxes Othar Than Income Taxes 69 860 6') 738 122 Total Operating Expensen S502 699 5467 121 S 35 778 Operating Income Before Income Taxes S 72 758 S 82 179 $ (9 421) Income Taxes: Federal (670) $(16 280) $ 15 610 Other 13 1 12 Deferred Income Taxes (net) 35 358 35 708 (350) Investment Tax Credit (29 630) (11 951) (17 679) Amort, of ITC (1 156) _ (301) (855) Total Income Tax 3 915 7 177 (3 262) Net Utility Operating Income $ 68 843_ S 75J 0,2, 1 (6 159) O e
\\( l( '. ' JERSEY CENi'HAl. Poli.R !. l. l(.It ! tull'ANY Docket 804-285 Rato Base (000's) 9+3 Budget Actual Increase 12-31-80 8-31-80 (Decrease) Utility Plant Electric Plunt in Service $1 711 882 $1 672 934 S 38 948 Plant licld f or Future Use 5 876 5 870 6 Nuc1 car Fuel 77 491 84 209 (6 718) CWIP 53 736 60 5'.6 (6 790) Total Plant $1 848 985 $1 823 539 S 25 446 Additions: Accu nulated Deferred Income Taxes S 2 353 2 159 S 194 Deterred Income Taxes Associated
- tith I*a. O r c.. s Re ci. i p t u 3 611 2 353 1 251 Arij n a t n. n r to W f.rre<f '! axe 9 en r. f l..< r Lid r ax r a t..
1 R?^ 1 824 Total A<Mitinn S 7 'S3 6 341 5 1 447 Deduetions: D<preciation E. Deco aissioning $ 421 981 $ 405 326 S 16 655 Anort. of Nuclear Fue! 42 330 37 927 4 403 Custoner Advances 994 1 073 (79) Unamart. Gain on Reacquired Debt 6 633 7 015 (382) Un mort. FIT refund 638 787 (149) Cu s t o:.ac t Depoaits 5 688 5 915 (227) Pa. Grosn Receipts ' lax 9 712 7 265 2 447 Tctal S 487 976 $ 465 30S S 22 668 Net Plant Investment $1 368 797 $1 364 572 S 4 225 Working Capital 74 299 125 760 (51 461) Net I nve s teien t in Rate Base $ 1 4 4_3_ _09 6_ 51__49_0_ 332 f(47 236) O f .Ah
I . an > .r' \\ I, PRELIMINARY DRAFT l l JERSEY CEtiTRAI. POWER & !.ICilT C0!-fpA!iY ~" Docket 80/-8?S PJM In stalled Capacity Ob11;.ation References indicate PJM A.reement Rhedule !' umber The " Forecast Ohlination" is fixcu cach June I for the planning period of June 1 - May 31 beginning 2 years later (ref. 2.01b). The forecast obli-gation is baned, among other considerations, on the 3 year average forced out-age rate of exicting units, (ref. 2.21 and 2.212). As an exa=plc, the 1980 forced outage rate for 1MI la used in the 3 year historical average for calculations made in June of 1981, 1982 and 1983. Since these calculations affect the planning period starting 2 years from the calculation date, the effect on the forecast obli-r,ation necurs in the planning periods 1983-34, 1984-85 and 1985-86. This effect in approximately 1 to 1 due to various clauses in che contract. At the time the foretact obligation is fixed, a cc pany must agree to install capacity, cuke a firm capacity purchat;e or buy capacity f rom PJM on a firm basis to meet the obligation, (ref. 2.01d). If a PJM purchase is contracted, it cannot be reduced unless the PJM pool capacity is Icss than the su= of all the ccebers' obligation. A forecant obligation can be offset only by firm capacity. I An adjusted obligation is calculated at the end of the planning period to reficce actual seekly peaks and actual unavailabic capacity, (ref. 3.01). This adjusteent can increase the forecast obligation but cc cot decrease it. The TMI outage increases this upward adjustment in the curr+ + clanning period. This TMI effect is currently being offset by short ter= purchases, which are being used as negative unavailabic capacity in the calculation of total unavailable capacity. The following sheets contain calculations based on the present return date of 7-1-81 for TMI 1 and 1-1-86 for TMI 2. I e T l W l i l ..~ l l C. .m'..
JERSEY CENTRAL POWER & LIGitT COWA'.'Y Docket 804-825 Assuced F.O. and the Effcet of Excess F.O. on luture Forecast Oblications (Forced Outage (F.O.) are in terms of aver 4.ge MW) Calendar Year g g g g 33 f4 35 86_ 82
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654 776 450 124 Norcal or Mature F.O. 124 124 124 124 Excess F.O. 530 652 326 0 Effect of excess on 3 yr. avg.: Yr. 1 0 0 530 652 326 0 Yr. 2 0 530 652 326 0 0 Yr. 3 530 652 326 0 0 0 Avg. 177 394 503 326 109 0 1 TMI 2 Assumed actual F.O. 725 880 880 880 880 880 830 141 Normal or Mature F.O. _141 Excess F.O. _141_ 141
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_141_ 141 141 534 739 739_ 739 739_ Effect of excess on 739 739 0_ 3 yr, avg.: Yr. 1 0 0 584 739 739 7 3 ') 739 739 739 0 Yr. 2 0 584 739 739 739 739 739 739 0 0 Yr. 3 _584 739 739_ 739 739 739 739 Avg. 195 441 687 739 739 739 739 _ 0 0 0 493 246 0 Comb. excess 3 yr. avg. 372 835 1190 1065 848 739 739 493 246 0 Applicable planning period 82-83 83-84 84-85 85-86 86-87 87-88 88-89 89-90 90-91 91-92 t P3 rn_ C; D >J i ?> I' u M C7 E r;>v 20 1
s N JERSEY CENTRAL POWER & LIGHT CC!PANY Docket 804-825 Asgumed 7.0. and the Effect of Excess F.O. on Accounted For Adjustments Planning Period 79-80 80-31_81-82 82-83 83-84 84-85 85-86 86-87 87-88 88-89 89-TM1 1 Assumed Actual F.O. 776 776 178 124 Assueed Normal F.O. 124 124 124 124 Excess F.O. 652 652 S t. 0 TMI 2 Assu=ed Actual F.O. 880 880 880 880 880 880 572 141 Assueed Normal F.O. _l a l 141 141 _l al_ 141 141 _141_ 141 Excess F.O. 739 739_ 739 739 739 739 431 0 + Co=bined Actual Excess F.O.1391 1391 793 739 739 739 431 0 0 0 0 0 Cotbined Forecast Excess F.O. 0 0 0 372 835 1190 1065 848 739 739 493 246 Effcet on AccountedM or. Adjusttent - 502 of diff.( 696 696 397 184 (48) (226) (317) (424) (370) (370) (246) (123) Total TM1 Effect - Forecast effect plus positive acct.-for adj. - MV -696 696 397 556 835 1190 1065 848 739 739 493 246 Es'ticated PJM Capacity Rate $/MW-DAY 70 77 84 101 116 126 136 147 159 171 185 200 21-9 Esticated Effect on Payments Smillionl8(2) 20(2) 12(2) ME 9 502 20 36 54 52, 46 42 46 32 15 9 10 6 10 IS 27 26 23 21 23 16 9 PN or JCG 252 4.5 5 3 5 9 13.5 13 11.5 10.5 11.5 8 4.5 ( Positive values can be offset by short term purchases. Negative adjustments are not allowed, but negative values can offset excess unavailable or lov load forecast. other PJM co:panies that have accounted-for deficiencies. The negative values could result in sales to This appears unlikely at this time. (2)1hese paynents will be largly offset by short term purchases.
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f.xhibit flo: JC-301-B Witness: D. Baldassari JERSEY CEllTRAL POWER & _IGifT COMPAtlY The attached schedules are being submitted in response to Rate Council's request for the construction expenditures by month for the years 1980 and 1981.
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a lxhibit No: JC-317 Witness: D. Baldassari JERSEY CENTRAL POWER & LIGHT COMPA!4Y The attached schedule is being submitted in response to a Rate Council request for data relating to the expenditures ircurred by the Company in connection with TMI-2.
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