RC-97-0068, Forwards Summary of Nuclear Insurance Per 10CFR50.54(w) & 10CFR140.21(e)

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Forwards Summary of Nuclear Insurance Per 10CFR50.54(w) & 10CFR140.21(e)
ML20137K726
Person / Time
Site: Summer South Carolina Electric & Gas Company icon.png
Issue date: 03/31/1997
From: Ayanna Rice
SOUTH CAROLINA ELECTRIC & GAS CO.
To: Wood R
NRC OFFICE OF INFORMATION RESOURCES MANAGEMENT (IRM)
References
RC-97-0068, RC-97-68, NUDOCS 9704070085
Download: ML20137K726 (3)


Text

I Sruth Ctrolina Electric & G s Company ApriRice

  • Virgif C. Summ:r Nucleir StItion Mana0er, Nucisar boereng P. O. Box 88 8 Operahng Experience
  • Jenkinsville, SC 29065 (803) 345 5209 Anconcava, March 31,1997 4 RC-97-0068  :

Document Control Desk U. S. Nuclear Regulatory Commission Washington, DC 20555 ,

Attention: Mr. Robert S. Wood Gentlemen:

Subject:

VIRGIL C. SUMMER NUCLEAR STATION DOCKET NO. 50/395 OPERATING LICENSE NO. NPF-12 ANNUAL 10CFR50.54(w)(3) and 10CFR140.21(e) REPORT in compliance with 10CFR50.54(w)(3) and 10CFR140.21(e) respectively, South Carolina i Electric & Gas Company, acting for itself and as agent for South Carolina Public Service l Authority, herewith submits a summary of the present levels of property insurance and a  ;

cash flow statement for the Virgil C. Summer Nuclear Station. -

Should you have any questions piease contact Mrs. Donna Railey at (803) 345-4107.

Very truly yours, April . Rice dwr Attachments (2) c; J. L. Skolds W.F.Conway i R. R. Mahan (w/o Attachments)  ;

R. J. White }

L.A.Reyes  !

A.R. Johnson NRC Resident inspector J. B. Knotts, Jr. Af .

NSRC & / OO RTS (ANN 2500) {

t File (818.02-4)

DMS (RC-97-0068) 9704070603 970331 l PDR ADOCK 0500

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$1HpWIM i

& NUCLEAR EXCELLENCE - A SUMMER TRADmON!

Cuoment Control Desk g

/<l m 9 m onti RC-97-0068 Pgp 1 d 1 -

SOUTH CAROLINA ELECTRIC AND GAS COWANY Summary of Nuclear Insurance 3/31/97 TYPE OF POLICY INSURANCE CARRIER NUMBER LIMITS TERM NUCEAR All Risk Nuclear Property- Primary ANI  % 217 400.000.000partof 500.000.000 0848S6-08S867 MAELU  % 217 100.000.000 part of 500.000.000 Nuclear Property - Secondary NBLII X96-052 1.500.000,000 xs of 500.000.000 11/15 S 6-11/15 S 7 Nuclear Pub 3c Liability - Facility Form ANI NF-252 183.480.000 part of 200.000.000 OISIS7-0 ISIS 8 MAELU MF-108 16.520.000 part of 200.000.000 Secondary Financial Protection ANI N-78 9.395.000.000xsof 200.000.000 0 ISIS 7-OlmIS8 MAELU M-78 Nuclear Suppliers and Transporters ANI NS-420 10.000.000 OlMIB7-OlM198 Nuclear Workers Policy ANI NW-149 155.000.000 part of 200.000.000 OlAIS7-OlM198 MAELU MW-78 45.000.000 part of 200.000.000

.._- __ _ _. _ . . - _ ._ _ _ _ _ _ _ _ . . _ - . _._.- _, _ .._ . - __ _ - , _ _ _ _ - , . _ _.___. _ . . . _ _ _ _ . m _. _ _ . . . . _

l Dooumont Control Desk Anacntnant il

' ~~ ~~

INTERNAL CAOH FLOW PROJECTION FOR V.C. SUMMER NUCLEAR POWER STATION Excludes SC Generating Company (THOUSANDS OF DOLLARS)

PRIOR YEAR PROJECTION YEAR 1996 1997 ACTUALTOTAL TOTAL NET INCOME AFTER TAXES $ 190,482 $ 197,580 LESS DIVIDENDS PAID $ 138,387 $ 147,731 RETAINED EARNINGS $ 52,095 $ 49,849 ADJUSTMENTS DEPRECIATION AND AMORTIZATION $ 153,552 $ 166,478 DEFERRRED INCOME TAXES AND INVESTMENT TAX CREDITS $ 5,948 $ 804 ALLOWANCE FOR FUNDS USED DURING CONSTRUCTION $ (9,408) $ (12.445)

TOTAL ADJUSTMENTS $ 150.092 $ 154,837 INTERNAL CASH FLOW $ 202.187 8 204.686 AVERAGE QUARTERLY CASH FLOW $ 50.547 $ 51,172 A

Financial Planning Budgeting 3/31/97

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