ML20148A793
| ML20148A793 | |
| Person / Time | |
|---|---|
| Site: | Summer |
| Issue date: | 03/15/1988 |
| From: | Nauman D SOUTH CAROLINA ELECTRIC & GAS CO. |
| To: | Wood R Office of Nuclear Reactor Regulation |
| Shared Package | |
| ML20148A797 | List: |
| References | |
| NUDOCS 8803210161 | |
| Download: ML20148A793 (3) | |
Text
10CFR140.21 10CFR50.54 y ogna Electric & Gas Company A. N n
&umgig29218 Nucle:r Operations scsaa ASCAmE M ay March 15, 1988 l
Mr. Robert S. Wood Office of Nuclear Reactor Regulation Mail Stop OWFN 12E-4 U.S. Nuclear Regulatory Commission Washington, DC 20555
Subject:
Virgil C. Summer Nuclear Station Docket No. 50/395 Operating License No. NPF-12 Annual 10CFR50.54(w)(4) and 10CFR140.21(e) Report
Dear Mr. Wood:
In compliance with 10CFR50.54(w)(4) and 10CFR140.21(e), respectively, South
)
Carolina Electric & Gas Company (SCE&G), acting for itself and as agent for South Carolina Public Service Authority (PSA), herewith submits a summary of the i
present levels of property insurance and a cash flow statement for the Virgil C.
Summer Nuclear Station, along with the 1987 Annual Financial Reports for SCE&G and PSA.
Very truly yours, h
D. A. Nauman l
MDB: DAN: led l
Enclosures c:
J. G. Connelly, Jr./0. W. Dixon, Jr./T. C. Nichols, Jr.
E. C. Roberts
- 0. S. Bradham R. M. Campbell, Jr.
W. A. Williams, Jr.
J. C. Snelson l
T. E. Murley G. O. Percival J. Nelson Grace R. L. Prevatte J. J. Hayes, Jr.
J. B. Knotts, Jr.
General Managers M. D. Blue C. A. Price NSRC R. B. Clary RTS (RG870006)
W. R. Higgins NPCF i
K. E. Nodland File (818.02-4)
U y
8803210161 880315 PDR ADOCK 0500 5
l
SOUTH CAROLINA ELECTRIC & CAS COMPANY Sununary of Nuc12cr InIurEnca As of January 1,1988 j
i Type of Insurance and Insurer (s)
Policy Number (s)
Limits Tern and Expiration msaryran PRIMARY ALL RISK NUCEAR PROPERIY
$500,000,000 Excess of $250,000 Deductible ANI 5208
$363,500,000 Part of $500,000,000 1 year MAELU TA5243 S136,500,000 Part of $500,000,000 8/8/87 - 8/8/88 Provides All Risk Coverage for all real property, contents and non-automotive equipment at V. C. Sunumer Nuclear Station.
Se00mutY NUCLEAR PROPERTY
$895,000,000 Excess of Primary Policy
$500,000,000 and Deductible 1 year NEIL II X87-052
$775,000,000 Part of $895,000,000 11/15/87 - 11/15/88 ANI X87180
$87,240,000 Part of $895,000,000 MAELU XTA5280
$32,760,000 Part of $895,000,000 Provides Second Excess Nuclear Property Coverage IREC M AR PUBLIC LIABILITY ANI NF-252
$124,000,000 Part of $160,000,000 Continuous until Cancelled MAELU MF-108 S36,000,000 Part of $160,000,000 Provides Primary Liability Coverage for the Nuclear Hazard.
SECONDARY FINANCIAL PROTECTION ANI N-78
$555,000,000 Excess of $160,000,000 Continuous until Cancelled MAELU M-78 Provides Excess Liability Coverage for the Nuclear Hazard (Administered by ANI).
IRICLEAR SUPPLIERS AND T1tANSP(MtIERS ANI NS-420
$10,000,000 Continuous until Cancelled Provides Liability Coverage for the Nuclear Hazard for nuclear materials, suppliers, and transporters who are economically unable to obtain such coverage.
C2/26/88 11:39
.SCANA ' CORPORATION CONSOLIDATED INTERNAL CASH FLOW PROJECTION FOR V.C. SUMMER NUCLEAR POWER STATION (THOUSANDS OF DOLLARS)
PRIOR YEAR PROJECTION YEI.R i
1987 1988 ACTUAL TOTAL TOTAL NEi INCOME AFTER TAXES 139303 S
121063 LESS DIVIDENDS PAID 103924 104610 RETAINFD EARNINCS 35379 16453 ADJUSTMENTS DEPHECIATION AND AMORTIZATION S
109777 118161 DEFERRED INCOME TAXES AND INVESTMENT TAX CREDITS 18389 29096 ALLOWANCE FOR FUNDS USED DURING CONSTRUCTION (3859)
(4713)
DEFERRED CARRY COST (6063)
O TOTAL ADJUSTMENTS 118244 142543 INTERNAL CASH FLOW 153623 158996
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AVERACE QUARTERLY CASH FLOW 38406 39749
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NUKECASH I
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