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Rate and Regulatory Matters (Tables)
12 Months Ended
Dec. 31, 2020
Regulated Operations [Abstract]  
Schedule of regulatory assets

We have recorded certain costs as regulatory assets because we expect full recovery of, or are currently recovering, these costs in the rates we charge customers. These deferred costs have been excluded from rate base and, therefore, we are not earning a return on the unamortized balances. These items are detailed as follows:

(Thousands of Dollars)

December 31,

Remaining

Regulatory Assets

2020

2019

Recovery Periods

Retirement Benefits

$

45,419

$

44,281

Various

Income Taxes

66,759

60,151

Various

Rate Cases, Tank Painting, and Other

5,966

6,047

2-10 years

Total

$

118,144

$

110,479