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Revenue and Accounts Receivable (Table)
9 Months Ended
Jun. 30, 2021
Revenue from Contract with Customer [Abstract]  
Disaggregation of Revenue The following tables disaggregate our revenue from contracts with customers by customer type and segment and provide a reconciliation to total operating revenues, including intersegment revenues, for the three and nine months ended June 30, 2021 and 2020.
Three Months Ended June 30, 2021Three Months Ended June 30, 2020
DistributionPipeline and StorageDistributionPipeline and Storage
(In thousands)
Gas sales revenues:
Residential$336,016 $— $286,937 $— 
Commercial157,314 — 101,055 — 
Industrial25,348 — 17,019 — 
Public authority and other8,870 — 7,063 — 
Total gas sales revenues527,548 — 412,074 — 
Transportation revenues25,903 164,619 22,532 164,675 
Miscellaneous revenues2,615 3,895 2,793 2,277 
Revenues from contracts with customers556,066 168,514 437,399 166,952 
Alternative revenue program revenues(1)
2,206 (5,527)(2,567)(8,944)
Other revenues478 — 476 — 
Total operating revenues$558,750 $162,987 $435,308 $158,008 
Nine Months Ended June 30, 2021Nine Months Ended June 30, 2020
DistributionPipeline and StorageDistributionPipeline and Storage
(In thousands)
Gas sales revenues:
Residential$1,821,570 $— $1,435,328 $— 
Commercial692,443 — 543,148 — 
Industrial81,122 — 67,572 — 
Public authority and other42,159 — 34,747 — 
Total gas sales revenues2,637,294 — 2,080,795 — 
Transportation revenues84,643 480,945 77,676 471,433 
Miscellaneous revenues8,336 12,921 16,565 8,767 
Revenues from contracts with customers2,730,273 493,866 2,175,036 480,200 
Alternative revenue program revenues(1)
(13,666)(16,998)20,320 (27,779)
Other revenues1,467 — 1,461 — 
Total operating revenues$2,718,074 $476,868 $2,196,817 $452,421 
(1)    In our distribution segment, we have weather-normalization adjustment mechanisms that serve to mitigate the effects of weather on our revenue. Additionally, APT has a regulatory mechanism that requires that we share with its tariffed customers 75% of the difference between the total non-tariffed revenues earned during a test period and a regulatorily determined revenue benchmark.
Allowance for Credit Loss Activity
Rollforwards of our allowance for uncollectible accounts for the three and nine months ended June 30, 2021 are presented in the table below. The allowance excludes the gas cost portion of customers’ bills for approximately 78 percent of our customers as we have the ability to collect these gas costs through our gas cost recovery mechanisms in most of our jurisdictions.
 Three Months Ended June 30, 2021
 (In thousands)
Beginning balance, March 31, 2021$44,680 
Current period provisions14,403 
Write-offs charged against allowance(2,875)
Recoveries of amounts previously written off437 
Ending balance, June 30, 2021
$56,645 
 Nine Months Ended June 30, 2021
 (In thousands)
Beginning balance, September 30, 2020
$29,949 
Current period provisions32,872 
Write-offs charged against allowance(7,544)
Recoveries of amounts previously written off1,368 
Ending balance, June 30, 2021
$56,645