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Revenues Revenues (Tables)
3 Months Ended
Mar. 31, 2023
Revenue from Contract with Customer [Abstract]  
Disaggregation of Revenue [Table Text Block]
Disaggregation of Revenues
PSE&GPSEG Power & Other (A)EliminationsConsolidated
Millions
Three Months Ended March 31, 2023
Revenues from Contracts with Customers
Electric Distribution$730 $— $— $730 
Gas Distribution959 — (1)958 
Transmission 425 — — 425 
Electricity and Related Product Sales
 PJM
Third-Party Sales
— 276 — 276 
Sales to Affiliates— 31 (31)— 
NYISO— — — — 
ISO-NE— — 
Gas Sales
Third-Party Sales
— 86 — 86 
Sales to Affiliates
— 533 (533)— 
Other Revenues from Contracts with Customers (B)78 153 — 231 
Total Revenues from Contracts with Customers2,192 1,082 (565)2,709 
Revenues Unrelated to Contracts with Customers (C)101 945 — 1,046 
Total Operating Revenues$2,293 $2,027 $(565)$3,755 
PSE&GPSEG Power & Other (A)EliminationsConsolidated
Millions
Three Months Ended March 31, 2022
Revenues from Contracts with Customers
Electric Distribution$720 $— $— $720 
Gas Distribution1,047 — (1)1,046 
Transmission 392 — — 392 
Electricity and Related Product Sales
 PJM
Third-Party Sales
— 582 — 582 
Sales to Affiliates— 56 (56)— 
NYISO— 88 — 88 
ISO-NE— 86 — 86 
Gas Sales
Third-Party Sales
— 136 — 136 
Sales to Affiliates
— 526 (526)— 
Other Revenues from Contracts with Customers (B)85 146 (1)230 
Total Revenues from Contracts with Customers2,244 1,620 (584)3,280 
Revenues Unrelated to Contracts with Customers (C)40 (1,007)— (967)
Total Operating Revenues$2,284 $613 $(584)$2,313 
(A)Includes revenues applicable to PSEG Power, PSEG LI and Energy Holdings.
(B)Includes primarily revenues from appliance repair services and the sale of solar renewable energy credits (SRECs) at auction at PSE&G. PSEG Power & Other includes PSEG LI’s OSA with LIPA and PSEG Power’s energy management fee with LIPA.
(C)Includes primarily alternative revenues at PSE&G principally from the CIP program and derivative contracts and lease contracts at PSEG Power & Other.
Accounts Receivable, Allowance for Credit Loss [Table Text Block]
The following provides a reconciliation of PSE&G’s allowance for credit losses for the three months ended March 31, 2023 and 2022:
20232022
Millions
Balance as of Beginning of Year$339 $337 
Utility Customer and Other Accounts
Provision33 
Write-offs, net of Recoveries of $7 million and $8 million in 2023 and 2022, respectively
(29)(19)
Balance as of End of Period$319 $351 
Revenue, Capacity Auction Obligations [Table Text Block]
Capacity Revenues from the PJM Annual Base Residual and Incremental Auctions—The Base Residual Auction is generally conducted annually three years in advance of the operating period. The 2022/2023 auction was held in June 2021 and the 2023/2024 auction was held in June 2022. In February 2023, the results of the 2024/2025 auction held in December 2022 were released. PSEG Power expects to realize the following average capacity prices resulting from the base and incremental auctions, including unit specific bilateral contracts for previously cleared capacity obligations.
Delivery Year$ per MW-DayMW Cleared
June 2022 to May 2023$973,300 
June 2023 to May 2024$493,700 
June 2024 to May 2025$553,500 
Capacity transactions with the PJM Regional Transmission Organization are reported on a net basis dependent on PSEG Power’s monthly net sale or purchase position.