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2017 Attachment O Projection Stakeholder Meeting

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Presentation on theme: "2017 Attachment O Projection Stakeholder Meeting"— Presentation transcript:

1 2017 Attachment O Projection Stakeholder Meeting
Ameren Illinois Company October 5, 2016

2 Purpose is to review 2017 Projected Transmission Rate Calculations
Agenda Purpose is to review 2017 Projected Transmission Rate Calculations Protocol Timeline AIC 2017 Projected Calculations Attachment O Attachment GG Attachment MM 2017 AMIL Pricing Zone NITS Charge 2017 MVP Spend Significant Projects Projected to be Placed in Service in 2017 ROE Complaint Cases Impact of ROE Order issued September 28, 2016

3 (Forward-Looking Protocols)
Protocol timeline Date Schedule (Forward-Looking Protocols) June 1 Posting of annual true-up for prior year September 1 Deadline for annual true-up meeting Posting of net projected revenue requirement for following year October 15 Deadline for annual projected rate meeting November 1 Deadline for joint meeting on regional cost-shared projects March 15 Transmission Owners submit informational filing to the Commission

4 AIC Revenue Requirement
Projected 2016 vs Projected 2017

5 Aic 2017 PROJECTED rate base
Page.Line Jan-16 Jan-17 Change Percent 2.6 Total Gross Plant 1,938,342,678 2,296,555,948 358,213,270 18% 2.12 Total Accum Depreciation 502,413,116 525,122,593 22,709,477 5% 2.18 TOTAL NET PLANT 1,435,929,562 1,771,433,355 335,503,793 23% 2.18a 100% CWIP RECOVERY 42,507,018 8,709,958 -33,797,061 N/A ADJUSTMENTS TO RATE BASE 2.20 Account No. 282 -388,199,066 -484,788,908 -96,589,843 25% 2.21 Account No. 283 -7,813,781 -10,255,343 -2,441,562 31% 2.22 Account No. 190 54,136,112 49,214,591 -4,921,521 -9% 2.23 Account No. 255 2.25 Land Held for Future Use 2,363,868 2,484,054 120,186 2.26 CWC 5,834,598 6,210,229 375,631 6% 2.27 Materials & Supplies 12,101,199 13,677,702 1,576,503 13% 2.28 Prepayments 1,491,166 1,638,369 147,203 10% TOTAL ADJUSTMENTS -320,085,904 -421,819,306 -101,733,402 32% 2.30 TOTAL RATE BASE 1,158,350,676 1,358,324,006 199,973,330 17%

6 Aic 2017 PROJECTED expenses
Page.Line Jan-16 Jan-17 Change Percent O&M 3.1 Transmission 47,078,280 59,336,832 12,258,552 26% 3.1a Less LSE Expenses 1,495,616 1,703,652 208,036 14% 3.2 Less Account 565 13,231,075 23,725,630 10,494,556 79% 3.3 A&G 14,176,890 15,413,506 1,236,617 9% 3.4 Less FERC Annual Fees N/A 3.5 Less EPRI, ect. 362,566 243,164 -119,401 -33% 3.5a Plus Trans. Reg. Comm. Exp 510,870 603,944 93,074 18% 3.8 TOTAL O&M 46,676,783 49,681,835 3,005,052 6% 3.12 TOTAL DEPRECIATION 35,645,227 42,958,714 7,313,487 21% TAXES 3.13 Payroll 892,102 893,601 1,499 0% 3.16 Property 1,216,554 1,364,211 147,658 12% 3.18 Other 421,926 481,037 59,111 3.27 Income Taxes 49,941,009 58,177,523 8,236,513 16% TOTAL TAXES 52,471,591 60,916,372 8,444,781 TOTAL EXPENSES 134,793,601 153,556,921 18,763,320

7 Aic 2017 PROJECTED Capital structure
Capital Structure Projection Page.Line $ % Cost Weighted 4.27 Long Term Debt 2,436,021,670 46.88% 0.0570 0.0267 4.28 Preferred Stock 61,721,350 1.19% 0.0490 0.0006 4.29 Common Stock 2,698,856,348 51.94% 0.1238 0.0643 4.30 Total 5,196,599,368 100.0% 0.0916 Capital Structure Projection 2,665,883,538 47.30% 0.0550 0.0260 1.10% 0.0005 2,908,148,803 51.60% 0.0639 5,635,753,692 0.0904 Change in Return %

8 Aic 2017 PROJECTED total revenue requirement
Page.Line Jan-16 Jan-17 Change Percent 2.30 TOTAL RATE BASE 1,158,350,676 1,358,324,006 199,973,330 17% 4.30 Rate of Return 9.16% 9.04% -0.12% -1% 3.28 Return 106,113,678 122,849,733 16,736,056 16% Total Expenses 134,793,601 153,556,921 18,763,320 14% 3.29 TOTAL GROSS REV. REQ. 240,907,279 276,406,655 35,499,375 15% 3.30 Less ATT. GG Adjustment 14,686,344 17,578,897 2,892,552 20% 3.30a Less ATT. MM Adjustment 11,861,659 15,287,623 3,425,964 29% 3.31 GROSS REV. REQ. UNDER ATT. O 214,359,276 243,540,135 29,180,859

9 Aic 2017 PROJECTED true up & Net revenue requirement
Page.Line Jan-16 Jan-17 Change Percent 1.1 Gross Revenue Requirement 214,359,276 243,540,135 29,180,859 14% 1.6 Total Revenue Credits 13,373,302 13,682,453 309,151 2% 1.6a Historic Year Actual ATRR 153,102,512 165,555,788 12,453,276 8% 1.6b Projected ATRR from Prior Year 143,000,924 159,478,984 16,478,060 12% 1.6c Prior Year ATRR True-Up 10,101,588 6,076,804 -4,024,784 -40% 1.6d Prior Year Divisor True-Up -3,254,838 3,886,829 7,141,667 -219% 1.6e Interest on Prior Year True-Up 43,217 65,282 22,065 51% 1.7a NET REVENUE REQUIREMENT 207,875,940 239,886,596 32,010,656 15% 1.7b Prairie Power 1.7 AIC Adjusted Revenue Requirement

10 Aic 2015 attachment o true up
Ameren Illinois Company - AIC Attachment O Revenue Requirement True-Up (WP 14) Year Ended December 31, 2015 Attachment O Net Actual Revenue Requirement (Attachment O, Pg 1, Line 7a) $ ,555,788 Net Projected Revenue Requirement (2015 Projected Attachment O, Pg 1, Line 7a) $ ,478,984 Under/(Over) Recovery of Net Revenue Requirement $ ,076,804 Historic Year Actual Divisor for Pricing Zone (Attachment O, Pg 1, Line 15) 6,922,407 Projected Year Divisor for Pricing Zone (2015 Projected Attachment O, Pg 1, Line 15) 7,095,335 Difference between Historic & Projected Yr Divisor 172,928 Prior Year Projected Annual Cost ($ per kw per yr) $ Prior Year Under/(Over) Divisor True-up $ ,886,829 Total Under/(Over) Recovery $ ,963,633 Monthly Interest Rate (updated through July, 2016) 0.0273% Interest For 24 Months $ ,282 Total Under/(Over) Recovery Including Interest $ ,028,915

11 Aic 2017 PROJECTED attachment gg
AIC Attachment GG Calculation - Page 1 (1) (2) (3) (4) Attachment O Line Page, Line, Col. Transmission Allocator No. 1 Gross Transmission Plant - Total Attach O, p 2, line 2 col 5 (Note A) 2,232,201,397 2 Net Transmission Plant - Total Attach O, p 2, line 14 and 23b col 5 (Note B) 1,733,090,008 O&M EXPENSE 3 Total O&M Allocated to Transmission Attach O, p 3, line 8 col 5 49,681,835 4 Annual Allocation Factor for O&M (line 3 divided by line 1 col 3) 2.23% GENERAL AND COMMON (G&C) DEPRECIATION EXPENSE 5 Total G&C Depreciation Expense Attach O, p 3, lines 10 & 11, col 5 (Note H) 5,228,898 6 Annual Allocation Factor for G&C Depreciation Expense (line 5 divided by line 1 col 3) 0.23% TAXES OTHER THAN INCOME TAXES 7 Total Other Taxes Attach O, p 3, line 20 col 5 2,738,849 8 Annual Allocation Factor for Other Taxes (line 7 divided by line 1 col 3) 0.12% 9 Annual Allocation Factor for Expense Sum of line 4, 6, and 8 2.58% INCOME TAXES 10 Total Income Taxes Attach O, p 3, line 27 col 5 58,177,523 11 Annual Allocation Factor for Income Taxes (line 10 divided by line 2 col 3) 3.36% RETURN 12 Return on Rate Base Attach O, p 3, line 28 col 5 122,849,733 13 Annual Allocation Factor for Return on Rate Base (line 12 divided by line 2 col 3) 7.09% 14 Annual Allocation Factor for Return Sum of line 11 and 13 10.45%

12 Aic 2017 PROJECTED attachment gg
AIC Attachment GG Calculation - Page 2 (1) (2) (3) (4) (5) (6) Line No. Project Name MTEP Project Number Project Gross Plant Annual Allocation Factor for Expense Annual Expense Charge Project Net Plant (Note C) (Page 1 line 9) (Col. 3 * Col. 4) (Note D) 1a Wood River-Roxford kV line 728 $ ,424,487 2.58% $ ,442 $ ,888,922 1b Sidney-Paxton 138kV Reconductor 18 miles 870 $ ,994,479 $ ,815 $ ,995,704 1c Coffeen Plant-Coffeen, North - 2nd. Bus tie 2829 $ ,592,558 $ ,435 $ ,933,806 1d Latham - Oreana 8.5 mile 345kV line 2068 $ ,630,957 $ ,301 $ ,192,653 1e Brokaw – S. Bloom 345/138kV Trans& 345 line 2069 $ ,405,263 $ ,257 $ ,243,161 1f Fargo-Mapleridge-20 mile 345kV line & New Sub 2472 $ ,955,825 $ ,393,481 $ ,918,347 (7) (8) (9) (10) (11) (12) Annual Allocation Factor for Return Annual Return Charge Project Depreciation Expense Annual Revenue Requirement True-Up Adjustment Network Upgrade Charge (Page 1 line 14) (Col. 6 * Col. 7) (Note E) (Sum Col. 5, 8 & 9) (Note F) Sum Col. 10 & 11 (Note G) 10.45% $ ,758 $ ,502 $ ,702 $ (13,035) $ ,667 $ ,819 $ ,719 $ ,353 $ (22,730) $ ,623 $ ,353 $ ,272 $ ,060 $ (15,880) $ ,180 $ 2,318,099 $ ,167 $ ,344,568 $ (48,170) $ 3,296,398 $ 3,054,550 $ ,124 $ ,406,930 $ (1,880,455) $ 2,526,475 $ 5,527,505 $ ,298 $ ,844,284 $ $ 7,844,284 2 Annual Totals $ ,578,897 $ (1,980,270) $ 15,598,627 3 Rev. Req. Adj For Attachment O

13 Aic 2015 attachment gg True-up
(b) (c) (d) (e) (f) (g) (h) (i) (j) (k) Actual Projected Attachment GG True-Up Applicable MTEP Annual Revenues Adjustment Interest Total Line Project Revenue Allocated Principal Rate on No. Name Number Requirement 1 to Projects 1 Under/(Over) [Col. (d), line 1 x (Col. (e), line 2x / Col. (h) x Col. (i) p 2 of 2, Col. 102 Col. (e), line 3)]2 Col. (g) - Col. (f) Line 5 x 24 months 2 Col. (h) + Col. (j) 1 Actual Attachment GG revenues for True-Up Year 1 $ ,255,964 2a Wood River-Roxford kV line 728 493,742 497,713 485,484 (12,229) 0.2747% (806) (13,035) 2b Sidney-Paxton 138kV Reconductor 18 miles 870 867,016 873,990 852,666 (21,324) (1,406) (22,730) 2c Coffeen Plant-Coffeen, North - 2nd. Bus tie 2829 847,036 853,849 838,951 (14,898) (982) (15,880) 2d Latham - Oreana 8.5 mile 345kV line 2068 3,669,542 3,699,058 3,653,867 (45,191) (2,979) (48,170) 2e Brokaw-S. Bloom 345/138kV Trans & 345kV line 2069 4,296,793 4,331,354 2,567,206 (1,764,148) (116,307) (1,880,455) 2f Fargo-Mapleridge-20 mile 345kV line & New Sub 2472 - 3 Subtotal $ ,174,129 $ ,255,964 $ ,398,174 4 Under/(Over) Recovery $ (1,857,790) $ (122,480) $ (1,980,270) 5 Applicable Interest rate per month (expressed to four decimal places) Interest Rate updated through July 2016 Amount excludes True-Up Adjustment, as reported in True-Up Year projected Attachment GG, page 2, column 11. 2 Rounded to whole dollars.

14 Aic 2017 PROJECTED attachment MM
AIC Attachment MM Calculation - Page 1 (1) (2) (3) (4) Attachment O Line Page, Line, Col. Transmission Allocator No. 1 Gross Transmission Plant - Total Attach O, p 2, line 2 col 5 (Note A) 2,232,201,397 1a Transmission Accumulated Depreciation Attach O, p 2, line 8 col 5 (Note J) 499,111,389 2 Net Transmission Plant - Total Line 1 minus Line 1a (Note B) 1,733,090,008 O&M TRANSMISSION EXPENSE 3 Total O&M Allocated to Transmission Attach O, p 3, line 8 col 5 49,681,835 3a Transmission O&M Attach O, p 3, line 1 col 5 59,336,832 3b Less: LSE Expenses included in above, if any Attach O, p 3, line 1a col 5, if any 1,703,652 3c Less: Account 565 included in above, if any Attach O, p 3, line 2 col 5, if any 23,725,630 3d Adjusted Transmission O&M Line 3a minus Line 3b minus Line 3c 33,907,550 4 Annual Allocation Factor for Transmission O&M (Line 3d divided by line 1a, col 3) 6.79% OTHER O&M EXPENSE 4a Other O&M Allocated to Transmission Line 3 minus Line 3d 15,774,286 4b Annual Allocation Factor for Other O&M Line 4a divided by Line 1, col 3 0.71% GENERAL AND COMMON (G&C) DEPRECIATION EXPENSE 5 Total G&C Depreciation Expense Attach O, p 3, lines 10 & 11, col 5 (Note H) 5,228,898 6 Annual Allocation Factor for G&C Depreciation Expense (line 5 divided by line 1 col 3) 0.23% TAXES OTHER THAN INCOME TAXES 7 Total Other Taxes Attach O, p 3, line 20 col 5 2,738,849 8 Annual Allocation Factor for Other Taxes (line 7 divided by line 1 col 3) 0.12% 9 Annual Allocation Factor for Other Expense Sum of line 4b, 6, and 8 1.06% INCOME TAXES 10 Total Income Taxes Attach O, p 3, line 27 col 5 58,177,523 11 Annual Allocation Factor for Income Taxes (line 10 divided by line 2 col 3) 3.36% RETURN 12 Return on Rate Base Attach O, p 3, line 28 col 5 122,849,733 13 Annual Allocation Factor for Return on Rate Base (line 12 divided by line 2 col 3) 7.09% 14 Annual Allocation Factor for Return Sum of line 11 and 13 10.45%

15 Aic 2017 PROJECTED attachment MM
AIC Attachment MM Calculation - Page 2 (1) (2) (3) (4) (5) (6) (7) (8) Line No. Project Name MTEP Project Number Project Gross Plant Project Accumulated Depreciation Transmission O&M Annual Allocation Factor Annual Allocation for Transmission O&M Expense Other Expense Annual Allocation Factor Annual Allocation for Other Expense (Note C) (Note K) Page 1 line 4 (Col 4 * Col 5) Page 1 line 9 (Col 3 * Col 7) Multi-Value Projects (MVP) 1a Pana-Sugar Creek - CWIP 2237 $ $ 6.79% $ 1.06% $ 1b Pana-Sugar Creek - Plant in Service $ 46,234,771 $ ,672 $ ,970 $ ,760 1d Sidney-Rising - CWIP 2239 1e Sidney-Rising - Plant in Service $ ,434,378 $ ,786 $ ,641 $ ,073 1f Palmyra-Pawnee - CWIP 3017 $ ,709,958 $ ,640 1g Palmyra-Pawnee - Plant in Service $ 33,530,161 $ ,926 $ ,637 $ ,632 1h Fargo-Galesburg-Oak Grove - CWIP 3022 1i Fargo-Galesburg-Oak Grove - Plant in Service $ ,252,464 $ ,057 $ ,846 $ ,230 1j Pawnee-Pana - CWIP 3169 1k Pawnee-Pana - Plant in Service $ 19,124,224 $ ,217 $ ,262 $ ,408 (9) (10) (11) (12) (13) (14) (15) (16) Annual Expense Charge Project Net Plant Annual Allocation Factor for Return Annual Return Charge Project Depreciation Expense Annual Revenue Requirement True-Up Adjustment MVP Annual Adjusted Revenue Requirement (Col 6 + Col 8) (Col 3 - Col 4) (Page 1 line 14) (Col 10 * Col 11) (Note E) (Sum Col. 9, 12 & 13) (Note F) Sum Col. 14 & 15 (Note G) 10.45% $ $ (781,430) $ ,730 $ 45,558,099 $ ,758,701 $ ,407 $ ,982,838 $ ,917 $ 6,204,755 $ (118,185) $ ,714 $ 7,233,592 $ ,574 $ ,540 $ ,827 $ ,557 $ 1,150,384 $ ,640 $ 8,709,958 $ ,785 $ ,002,426 $ (241,492) $ ,934 $ ,269 $ 32,814,235 $ ,427,561 $ ,805 $ ,311,635 $ (114,746) $ 4,196,889 $ (3,332) $ ,076 $ 4,166,407 $ ,196 $ ,658 $ ,930 $ ,107 $ ,037 $ ,307 $ ,670 $ 18,929,007 $ ,977,200 $ ,096 $ ,463,967 $ (20,198) $ 2,443,769 2 MVP Total Annual Revenue Requirements $15,287,623 -$745,495 $14,542,128 3 Rev. Req. Adj For Attachment O

16 Aic 2015 attachment MM true-up
(b) (c) (d) (e) (f) (g) (h) (i) (j) (k) Actual Projected Attachment MM True-Up Applicable MTEP Annual Revenues Adjustment Interest Total Line Project Revenue Allocated Principal Rate on No. Name Number Requirement 1 to Projects 1 Under/(Over) [Col. (d), line 1 x (Col. (e), line 2x / Col. (h) x Col. (i) p 2 of 2, Col. 142 Col. (e), line 3)]2 Col. (g) - Col. (f) Line 5 x 24 months 2 Col. (h) + Col. (j) 1 Actual Attachment MM revenues for True-Up Year 1 $ ,285,615 2a Pana-Sugar Creek - CWIP 2237 1,607,856 1,495,129 762,031 (733,098) 0.2747% (48,332) (781,430) 2b Pana-Sugar Creek - Plant in Service 240,874 223,986 432,177 208,191 13,726 221,917 2d Sidney-Rising - CWIP 2239 410,772 381,973 271,098 (110,875) (7,310) (118,185) 2e Sidney-Rising - Plant in Service - 161,884 10,673 172,557 2f Palmyra-Pawnee - CWIP 3017 799,687 743,621 517,065 (226,556) (14,936) (241,492) 2g Palmyra-Pawnee - Plant in Service 1,992,132 1,852,463 1,744,814 (107,649) (7,097) (114,746) 2h Fargo-Galesburg-Oak Grove - CWIP 3022 76,612 71,241 68,115 (3,126) (206) (3,332) 2i Fargo-Galesburg-Oak Grove - Plant 88,286 5,821 94,107 2j Pawnee-Pana - CWIP 3169 535,820 498,254 540,759 42,505 2,802 45,307 2k Pawnee-Pana - Plant in Service 20,378 18,949 (18,949) (1,249) (20,198) 3 Subtotal $ ,684,131 $ ,285,616 $ ,586,229 4 Under/(Over) Recovery $ (699,387) $ (46,108) $ (745,495) 5 Applicable Interest rate per month (expressed to four decimal places) Interest Rate updated through July 2016 Amount excludes True-Up Adjustment, as reported in True-Up Year projected Attachment MM, page 2, column 15. 2 Rounded to whole dollars.

17 AMIL Pricing Zone Schedule 9 charge
Page.Line Jan-16 Jan-17 Change Percent 1.7 AIC Adjusted Revenue Requirement 207,875,940 239,886,596 32,010,656 15% ATXI Adjusted Revenue Requirement 8,660,241 9,718,229 1,057,988 12% PPI Adjusted Revenue Requirement 7,374,750 7,322,136 -52,614 -1% Total Revenue Requirement 223,910,931 256,926,961 $33,016,030 1.15 Ameren Illinois Divisor 7,118,197 7,315,667 197,470 3% Annual Cost ($/kW/Yr) 31.46 35.12 3.66 Network & P-to-P Rate ($/kW/Mo) 2.62 2.93 0.31

18 AIC 2017 PROJECTED MVP SPEND
Ameren MVPs Ameren Name 2017 CAPEX MTEP #s MTEP Description Illinois Rivers $5.4 million 2237 Pana - Mt. Zion - Kansas - Sugar Creek 345 kV line 2239 Sidney to Rising 345 kV line 3017 Palmyra-Quincy-Meredosia - Ipava & Meredosia-Pawnee 345 kV Line 3169 Pawnee to Pana kV Line Spoon River $.03 million 3022 Fargo-Galesburg-Oak Grove 345 kV Line

19 2017 PROJECTED projects added to transmission plant
Project Name Total Cost ($Millions) Physical Security Projects 40.6 Illinois Rivers Connections 22.6 Baldwin Ring Bus & Line Split 16.4 Lawrenceville South - Robinson Marathon 11.9 Searitt Switching Station 10.9 Intelligrid 10.4 Hoopeston West - Paxton East 10.1 Turkey Hill - Ashley 9.4 Gifford Switching Station 9.1 Gibson City South - Paxton East 8.9 Monument Program 8.7 Hickok Breaker Station TP728 8.1 East Galesburg - East Kewanee 8.0 Huff Substation Ring Bus 7.9 Cahokia-Dupo Ferry-Buck Knob Louisville South - Olney North 7.2 Jacksonville -Meredosia 1 7.1 Hull Ring Bus 6.9 Prairie State Breaker and a Half 6.1 Kansas West – Sidney 5.5 Gallatin New Bulk Substation 5.4 228.9

20 Refunds will be required, but format is not yet determined
ROE complaints MISO ROE Complaints 1st Complaint (EL14-12) Covers November 12, 2013 through Feb 11, 2015 FERC order received September 28; set the Base ROE at 10.32% Applicable going forward until 2nd complaint order 2nd Complaint (EL15-45) Covers February 12, 2015 through May 11, 2016 Initial decision issued June 30th with a recommended Base ROE at 9.70% RTO Adder (ER15-358) FERC approved a 50 basis point adder for participation in an RTO Effective January 6, 2015, applicable to complaint case refunds after that date and going forward (i.e., total ROE is now 10.82%) Refunds will be required, but format is not yet determined Will impact Schedules 7,8, 9, 26, 37, 38, 26A Refund process and timing to be determined

21 2017 Impact of new ROE Effective September 28, 2016
2017 Projected Capital Structure Capital Structure Projection Posted on 8/31/16 Page.Line $ % Cost Weighted 4.27 Long Term Debt 2,665,883,538 47.30% 0.0550 0.0260 4.28 Preferred Stock 61,721,350 1.10% 0.0490 0.0005 4.29 Common Stock 2,908,148,803 51.60% 0.1238 0.0639 4.30 Total 5,635,753,692 100.0% 0.0904 Capital Structure Projection New ROE Effective 9/28/16 0.1082 0.0558 0.0824 Change in Return %

22 2017 Impact of new ROE Effective September 28, 2016
2017 Projected Total Revenue Requirement Page.Line Posted 8/31/16 New ROE Change Percent 2.30 TOTAL RATE BASE $1,358,324,006 0% 4.30 Rate of Return 9.04% 8.24% -0.80% -9% 3.28 Return $122,849,733 $111,915,393 -10,934,341 3.27 Income Taxes $58,177,523 $50,881,708 -7,295,814 -13% Total Expenses Other Than Income Taxes $95,379,399 3.29 TOTAL GROSS REV. REQ. $276,406,655 $258,176,500 -18,230,155 -7% 3.30 Less ATT. GG Adjustment $17,578,897 $16,346,373 -1,232,524 3.30a Less ATT. MM Adjustment $15,287,623 $14,052,589 -1,235,035 -8% 3.31 GROSS REV. REQ. UNDER ATT. O $243,540,135 $227,777,538 -15,762,597 -6%

23 2017 Impact of new ROE Effective September 28, 2016
2017 AMIL Pricing Zone Schedule 9 Charge Page.Line posted 8/31/16 New ROE Change Percent 1.7 AIC Adjusted Revenue Requirement $239,886,596 $224,123,999 -15,762,597 -7% ATXI Adjusted Revenue Requirement $9,718,229 $9,023,817 -694,412 PPI Adjusted Revenue Requirement 7,322,136 $7,271,187 -50,949 -1% Total Revenue Requirement $256,926,961 $240,419,004 -$16,507,958 -6% 1.15 Ameren Illinois Divisor 7,315,667 0% Annual Cost ($/kW/Yr) $35.12 $32.86 -2.26 Network & P-to-P Rate ($/kW/Mo) $2.93 $2.74 -0.19

24 2016 Impact of new ROE Effective September 28, 2016
2016 AMIL Pricing Zone Schedule 9 Charge (Ameren Calculation, MISO has not posted the rate change yet) 09/27/2016 09/28/2016 Page.Line (12.38% ROE) (10.82% ROE) Change Percent 1.7 AIC Adjusted Revenue Requirement $207,875,940 $194,266,554 -13,609,385 -7% ATXI Adjusted Revenue Requirement $8,660,241 $7,966,789 -693,452 -8% PPI Adjusted Revenue Requirement 7,374,750 $7,280,349 -94,401 -1% Total Revenue Requirement $223,910,930 $209,513,692 -$14,397,238 -6% 1.15 Ameren Illinois Divisor 7,118,197 0% Annual Cost ($/kW/Yr) $31.46 $29.43 -2.02 Network & P-to-P Rate ($/kW/Mo) $2.62 $2.45 -0.17

25 Transmission Pricing - Attachments O, GG & MM Information
Miso web links Transmission Pricing - Attachments O, GG & MM Information Ameren OASIS MTEP 16 Schedule 26 & 26-A Indicative Charges Additional questions on these topics can be sent to Ameren at:

26 QUESTIONS?


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