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Completion of Electric Utility Reorganization Plan (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jul. 01, 2020
Jun. 30, 2021
Mar. 31, 2021
Jun. 30, 2020
Mar. 31, 2020
Jun. 30, 2021
Jun. 30, 2020
Oct. 30, 2020
Completion of Electric Utility Reorganization Plan[Line Items]                
Gain (loss) on asset transfer $ 0              
Electric   $ 8,108   $ 7,679   $ 19,647 $ 18,647  
Net income   26,576 $ 19,268 25,612 $ 14,072 45,844 39,684  
Net cash provided from operating activities           41,144 46,263  
Net cash used in investing activities           (76,083) (62,483)  
Net cash provided from financing activities (1)           3,561 21,382  
Incremental expansion of borrowing capacity               $ 30,000
Bear Valley Electric Service, Inc.                
Completion of Electric Utility Reorganization Plan[Line Items]                
Net assets transferred $ 71,300              
Bear Valley Electric Service, Inc.                
Completion of Electric Utility Reorganization Plan[Line Items]                
Debt instrument term 3 years              
Maximum borrowing capacity on line of credit $ 35,000              
Outstanding borrowings   26,000       26,000    
Incremental expansion of borrowing capacity   15,000       15,000    
Taxes Payable $ 0              
Bear Valley Electric Service, Inc. | Electric Service Utility Operations                
Completion of Electric Utility Reorganization Plan[Line Items]                
Electric   8,108       19,647 18,647  
Operating expenses   6,313       14,404 13,647  
Operating income   1,795   1,513   5,243    
Net income   1,302   1,063   3,826    
Net cash provided from operating activities           5,236    
Net cash used in investing activities           (11,198)    
Net cash provided from financing activities (1)           5,815    
Net change in cash and cash equivalents           (147)    
Cash and cash equivalents, beginning of period     367     367    
Cash and cash equivalents, end of period   220       220    
Golden State Water Company                
Completion of Electric Utility Reorganization Plan[Line Items]                
Electric   0   7,679   0 18,647  
Net income   $ 20,960 $ 12,231 20,919 $ 11,202 33,191 32,121  
Net cash provided from operating activities           40,049 41,033  
Net cash used in investing activities           (63,749) (59,531)  
Net cash provided from financing activities (1)           $ (7,219) 19,543  
Golden State Water Company | Electric Service Utility Operations                
Completion of Electric Utility Reorganization Plan[Line Items]                
Electric       7,679        
Operating expenses       $ 6,166        
Operating income             5,000  
Net income             $ 3,409