ML20206A769

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Forwards 1986 Annual Repts for Santee Cooper & Scana
ML20206A769
Person / Time
Site: Summer 
Issue date: 03/31/1987
From: Nauman D
SOUTH CAROLINA ELECTRIC & GAS CO., SOUTH CAROLINA PUBLIC SERVICE AUTHORITY (SANTEE COOPE
To: Wood R
NRC OFFICE OF STATE PROGRAMS (OSP)
Shared Package
ML20206A771 List:
References
NUDOCS 8704080163
Download: ML20206A769 (3)


Text

10CFR140.21 10CFR50.54 Electric & Gas Company A.

gugtynag29218 Nuckar Operations

-cm March 31, 1987 Mr. Robert'S. Wood Office of State Programs (AR-5037)

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 prese.nt levels of property insurance and a cash flow statement for the Virgil C.

Summer Nuclear Station, along with the 1986 Annual Financial Reports for SCE&G and PSA.

hyours, ry r

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.s D.

uman MDB: DAN:bjh Enclosures c:

0. W. Dixon, Jr./T. C. Nichols, Jr.

R. M. Campbell E. C. Roberts K. E. Nodland

0. S. Bradham R. A. Stough J. G. Connelly, Jr.

G. O. Percival D. R. Moore R. L. Prevatte W. A. Williams, Jr.

J. B. Knotts, Jr.

H. R. Denton NPCF J. N. Grace File Group Managers W. R. Baehr C. A. Price C. L. Ligon (NSRC) 4 870'4000163 870331 PDR ADOCK 05000395 I

PDR

i l

SOU111 CAROLINA ELECTRIC & GAS COMPANY l

Summary of Nucletr Insurtnce 5

As of January 1, 1987 Type of Insurance and Insurer (s)

Policy Number (s)

Limits Tern and Expiration IWur'im FRIMMtY ALL RISK pm PROFDUT

$500,000,000 Excess of $250,000 Deductible ANI 5114

$ 364,400,000 Part of $500,000,000 1 year..

MAELU TA5090

$135,600,000 Part of $500,000,000 8/8/86 - 8/8/87 Provides All Risk Coverage for all real property, contents and non-automotive equipment at V. C. Summer Nuclear Station, met N5QJEAR PROFDUT

$695,000,000 Excess of Primary Policy

$500,000,000 and Deductible 1 year NEIL II X86-052

$610,000,000 Part of $695,000,000 11/15/86 - 11/15/87 ANI X8646

$55,216,000 Part of $695,000,000 l

MAEll!

XTA5116

$29,784,000 Part of $695,000,000 Provides Second Excess Nuclear Property Coverage IEur1 m FINLIC LIABILHT ANI NF-252

$124,000,000 Part of $160,000,000 Continuours tantil Cancelled MAELU MF-108

$36,000,000 Part of $160,000,000 Provides Primary Liability Coverage for the Nuclear Hazard.

SNRY FIRMICIAL PRDHCTION ANI N-78

$540,000,000 Excess of $160,000,000 Continuous until Cancelled MAELU M-78 Provides Excess Liability Coverage for the Nuclear Hazard (Administered by ANI).

NBCIJ!AR SWPPLIERS Am TRANSPUIGERS ANI NS-420

$10,000,000 Continuova until Cancelled Provides Liability Coverage for the Nuclear Hazard for nuclear materials, suppliers, and transporters tsho are economically unable to obtain tuch coverage.

a

9 t

03/05/87 10:10 SCANA CORPORAT10N CONSOLIDATED INTERNAL CASH FLOW PROJECTION FOR V.C.

SUMMER NUCLEAR POWER STAfl0N (THOUSANDS OF 00LtARS)

PRIOR YEAR PROJECTION YEAR 1986 198T ACTUAL TOTAL TOTAL NET INCOME AFTER TAMES 136603 124349 LESS DIVIDENDS PAID 104706 105692 RETAINED EARNIIICS 31897 18657 ADJUSTMENTS DEPRECIAT1086 A800 AMORTlZAT1000 121156 119039 DEFERRED INCOME TAMES ANO INVESTMENT TAX CREDITS 24042 28547 ALLOWANCE FOR FUleOS 3070)

(6063)

USED DURIIIC CONSTRUCTION (3281)

DEFERRED CARRY COST (12450)

(

TOTAL ADJUST 99ENTS 1298e67 138453 INTERNAL CASH Flow 161364 157110 AVERACE QUARTERLY CASH FLOW 40341 39277

==.........

V NUMECASH