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As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 2/10/16 Exelon Corp 10-K 12/31/15 300:75M Donnelley … Solutions/FA Commonwealth Edison Co Peco Energy Co Baltimore Gas & Electric Co Exelon Generation Co LLC |
Document/Exhibit Description Pages Size 1: 10-K Annual Report HTML 7.51M 3: EX-10.21.1 Exelon Corporation Senior Management Severance HTML 213K Plan 2: EX-10.3 Form of Exelon Corporation Unfunded Deferred HTML 105K Compensation Plan 4: EX-10.34 Form of Exelon Corporation 2011 Long-Term HTML 161K Incentive Plan 5: EX-10.34.1 Form of Exelon Corporation Long-Term Incentive HTML 138K Program 6: EX-10.34.2 Form of Exelon Corporation Long-Term Incentive HTML 138K Program 7: EX-10.34.3 Amendment Number Two to the Exelon Corporation HTML 88K 2011 Long-Term Incentive Plan 13: EX-21.1 Exelon Corporation Subsidiaries HTML 127K 14: EX-21.2 Exelon Generation Company, LLC Subsidiaries HTML 122K 15: EX-21.3 Commonwealth Edison Company Subsidiaries HTML 85K 16: EX-21.4 Peco Energy Company Subsidiaries HTML 85K 17: EX-21.5 Baltimore Gas and Electric Company Subsidiaries HTML 85K 18: EX-23.1 Consent of Independent Registered Public HTML 86K Accountants - Exelon Corporation 19: EX-23.2 Consent of Independent Registered Public HTML 86K Accountants - Exelon Generation Co. LLC 20: EX-23.3 Consent of Independent Registered Public HTML 86K Accountants - Commonwealth Edison Co. 21: EX-23.4 Consent of Independent Registered Public HTML 86K Accountants - Peco Energy Company 22: EX-23.5 Consent of Independent Registered Public HTML 86K Accountants - Baltimore Gas & Electric 23: EX-24.1 Power of Attorney - Anthony K. Anderson HTML 87K 32: EX-24.10 Power of Attorney - Richard W. Mies HTML 86K 33: EX-24.11 Power of Attorney - John W. Rogers, Jr HTML 86K 34: EX-24.12 Power of Attorney - Mayo A. Shattuck Iii HTML 86K 35: EX-24.13 Power of Attorney - Stephen D. Steinour HTML 86K 36: EX-24.14 Power of Attorney - James W. Compton HTML 86K 37: EX-24.15 Power of Attorney - Christopher M. Crane HTML 86K 38: EX-24.16 Power of Attorney - A. Steven Crown HTML 86K 39: EX-24.17 Power of Attorney - Nicholas Debenedictis HTML 86K 40: EX-24.18 Power of Attorney - Peter V. Fazio, Jr. HTML 86K 41: EX-24.19 Power of Attorney - Michael Moskow HTML 86K 24: EX-24.2 Power of Attorney - Ann C. Berzin HTML 86K 42: EX-24.20 Power of Attorney - Denis P. O'Brien HTML 86K 43: EX-24.21 Power of Attorney - Anne R. Pramaggiore HTML 86K 44: EX-24.23 Power of Attorney - Craig L. Adams HTML 86K 45: EX-24.24 Power of Attorney - Christopher M. Crane HTML 86K 46: EX-24.25 Power of Attorney - M. Walter D'Alessio HTML 86K 47: EX-24.26 Power of Attorney - Nicholas Debenedictis HTML 86K 48: EX-24.27 Power of Attorney - Nelson A. Diaz HTML 86K 49: EX-24.28 Power of Attorney - Rosemarie B. Greco HTML 86K 50: EX-24.29 Power of Attorney - Charisse R. Lillie HTML 86K 25: EX-24.3 Power of Attorney - John A. Canning, Jr. HTML 86K 51: EX-24.30 Power of Attorney - Denis P. O'Brien HTML 86K 52: EX-24.31 Power of Attorney - Ronald Rubin HTML 86K 53: EX-24.32 Power of Attorney - Ann C. Berzin HTML 86K 54: EX-24.33 Power of Attorney - Christopher M. Crane HTML 86K 55: EX-24.34 Power of Attorney - Michael E. Cryor HTML 86K 56: EX-24.35 Power of Attorney - James R. Curtiss HTML 86K 57: EX-24.36 Power of Attorney - Calvin G. Butler, Jr. HTML 86K 58: EX-24.37 Power of Attorney - Joseph Haskins, Jr. HTML 86K 59: EX-24.38 Power of Attorney - Carla D. Hayden HTML 86K 60: EX-24.39 Power of Attorney - Denis P. O'Brien HTML 86K 26: EX-24.4 Power of Attorney - Christopher M. Crane HTML 86K 61: EX-24.40 Power of Attorney - Michael D. Sullivan HTML 86K 27: EX-24.5 Power of Attorney - Yves C. De Balmann HTML 87K 28: EX-24.6 Power of Attorney - Nicholas Debenedictis HTML 86K 29: EX-24.7 Power of Attorney - Paul L. Joskow HTML 86K 30: EX-24.8 Power of Attorney - Linda P. Jojo HTML 86K 31: EX-24.9 Power of Attorney - Robert J. Lawless HTML 86K 8: EX-12.1 Exelon Corporation Computation of Ratio of HTML 108K Earnings to Fixed Charges. 9: EX-12.2 Exelon Generation Company, LLC Computation of HTML 96K Ratio of Earnings to Fixed Charges 10: EX-12.3 Commonwealth Edison Company Computation of Ratio HTML 96K of Earnings to Fixed Charges 11: EX-12.4 Peco Energy Company Computation of Ratio of HTML 108K Earnings to Fixed Charges 12: EX-12.5 Baltimore Gas and Electric Co Computation of Ratio HTML 107K of Earnings to Fixed Charges 62: EX-31.1 Certification Filed by Christopher M. Crane for HTML 92K Exelon Corporation 71: EX-31.10 Certification Filed by David M. Vahos Baltimore HTML 92K Gas and Electric Company 63: EX-31.2 Certification Filed by Jonathan W. Thayer for HTML 92K Exelon Corporation 64: EX-31.3 Certification Filed by Kenneth W. Cornew for HTML 92K Exelon Generation Company, LLC 65: EX-31.4 Certification Filed by Bryan P. Wright for Exelon HTML 92K Generation Company, LLC 66: EX-31.5 Certification Filed by Anne R. Pramaggiore for HTML 92K Commonwealth Edison Company 67: EX-31.6 Certification Filed by Joseph R. Trpik, Jr. for HTML 92K Commonwealth Edison Company 68: EX-31.7 Certification Filed by Craig L. Adams for Peco HTML 92K Energy Company 69: EX-31.8 Certification Filed by Phillip S. Barnett for Peco HTML 92K Energy Company 70: EX-31.9 Certification Filed by Calvin G. Butler, Jr. for HTML 92K Baltimore Gas and Electric Co. 72: EX-32.1 Certification Filed by Christopher M. Crane for HTML 86K Exelon Corporation 81: EX-32.10 Certification Filed by David M. Vahos Baltimore HTML 86K Gas and Electric Company 73: EX-32.2 Certification Filed by Jonathan W. Thayer for HTML 86K Exelon Corporation 74: EX-32.3 Certification Filed by Kenneth W. Cornew for HTML 86K Exelon Generation Company, LLC 75: EX-32.4 Certification Filed by Bryan P. Wright for Exelon HTML 86K Generation Company, LLC 76: EX-32.5 Certification Filed by Anne R. Pramaggiore for HTML 86K Commonwealth Edison Company 77: EX-32.6 Certification Filed by Joseph R. Trpik, Jr. for HTML 86K Commonwealth Edison Company 78: EX-32.7 Certification Filed by Craig L. Adams for Peco HTML 86K Energy Company 79: EX-32.8 Certification Filed by Phillip S. Barnett for Peco HTML 86K Energy Company 80: EX-32.9 Certification Filed by Calvin G. Butler, Jr. for HTML 86K Baltimore Gas and Electric Co. 88: R1 Document and Entity Information HTML 123K 89: R2 Consolidated Statements of Operations and HTML 287K Comprehensive Income (Unaudited) 90: R3 Consolidated Statements of Operations and HTML 92K Comprehensive Income (Parenthetical) 91: R4 Consolidated Statements of Cash Flows (Unaudited) HTML 307K 92: R5 Consolidated Balance Sheets (Unaudited) HTML 426K 93: R6 Consolidated Balance Sheets (Unaudited) HTML 102K (Parenthetical) 94: R7 Consolidated Statement of Changes in Shareholders HTML 291K Equity (Unaudited) 95: R8 Consolidated Statement of Changes in Shareholders HTML 93K Equity (Unaudited) (Parenthetical) 96: R9 Significant Accounting Policies HTML 282K 97: R10 Variable Interest Entities (Exelon, Generation, HTML 360K ComEd, PECO and BGE) 98: R11 Regulatory Matters (Exelon, Generation, ComEd, HTML 606K PECO and BGE) 99: R12 Mergers, Acquisitions and Dispositions (Exelon, HTML 179K Generation, ComEd, PECO and BGE) 100: R13 Investment in Constellation Energy Nuclear Group, HTML 131K LLC (Exelon and Generation) 101: R14 Accounts Receivable (Exelon, Generation, ComEd, HTML 122K PECO and BGE) 102: R15 Property, Plant and Equipment (Exelon, Generation, HTML 230K ComEd, PECO and BGE) 103: R16 Impairment of Long-lived Assets (Exelon and HTML 115K Generation) 104: R17 Jointly Owned Electric Utility Plant (Exelon, HTML 153K Generation, PECO and BGE) 105: R18 Intangible Assets (Exelon, Generation, ComEd, PECO HTML 264K and BGE) 106: R19 Fair Value of Financial Assets and Liabilities HTML 1.26M (Exelon, Generation, ComEd, PECO and BGE) 107: R20 Derivative Financial Instruments (Exelon, HTML 601K Generation, ComEd, PECO and BGE) 108: R21 Debt and Credit Agreements (Exelon, Generation, HTML 535K ComEd, PECO and BGE) 109: R22 Income Taxes (Exelon, Generation, ComEd, PECO and HTML 568K BGE) 110: R23 Asset Retirement Obligations (Exelon, Generation, HTML 221K ComEd and PECO) 111: R24 Implications of Potential Early Plant Retirements HTML 120K Implications of Potential Early Plant Retirements (Exelon, Generation) 112: R25 Retirement Benefits (Exelon, Generation, ComEd, HTML 913K PECO and BGE) 113: R26 Severance (Exelon, Generation, ComEd, PECO and HTML 97K BGE) 114: R27 Shareholder Equity (Exelon, ComEd, PECO and BGE) HTML 147K 115: R28 Stock-Based Compensation Plans (Exelon, HTML 234K Generation, ComEd, PECO and BGE) 116: R29 Earnings Per Share and Equity (Exelon) HTML 106K 117: R30 Changes in Accumulated Other Comprehensive Income HTML 358K (Exelon, Generation, ComEd, PECO and BGE) 118: R31 Commitments and Contingencies (Exelon, Generation, HTML 422K ComEd, PECO and BGE) 119: R32 Supplemental Financial Information (Exelon, HTML 844K Generation, ComEd, PECO and BGE) 120: R33 Segment Information (Exelon, Generation, ComEd, HTML 486K PECO and BGE) 121: R34 Related Party Transactions (Exelon, Generation, HTML 441K ComEd, PECO and BGE) 122: R35 Quarterly Data (Unaudited) (Exelon, Generation, HTML 274K ComEd, PECO and BGE) 123: R36 Schedule I - Condensed Financial Information of HTML 373K Parent (Exelon Corporate) 124: R37 Schedule II - Valuation and Qualifying Accounts HTML 361K 125: R38 Significant Accounting Policies (Policies) HTML 312K 126: R39 Significant Accounting Policies (Tables) HTML 174K 127: R40 Variable Interest Entities (Tables) HTML 311K 128: R41 Regulatory Matters (Tables) HTML 425K 129: R42 Mergers, Acquisitions and Dispositions (Tables) HTML 147K 130: R43 Investment in Constellation Energy Nuclear Group, HTML 102K LLC (Tables) 131: R44 Accounts Receivable (Tables) HTML 116K 132: R45 Property, Plant, and Equipment (Tables) HTML 225K 133: R46 Impairment of Long-Lived assets (Tables) HTML 96K 134: R47 Jointly Owned Electric Utility Plant (Tables) HTML 150K 135: R48 Intangible Assets (Tables) HTML 248K 136: R49 Fair Value of Financial Assets and Liabilities HTML 1.23M (Tables) 137: R50 Derivative Financial Instruments (Tables) HTML 534K 138: R51 Debt and Credit Agreements (Tables) HTML 507K 139: R52 Income Taxes (Tables) HTML 552K 140: R53 Asset Retirement Obligations (Tables) HTML 186K 141: R54 Implications of Potential Early Plant Retirements HTML 113K Implications of Potential Early Plant Retirements (Tables) 142: R55 Retirement Benefits (Tables) HTML 913K 143: R56 Severance (Tables) HTML 111K 144: R57 Contingently Redeemable Noncontrolling Interest HTML 99K Contingently Redeemable Noncontrolling Interest (Table) 145: R58 Shareholder Equity Shareholder Equity (Tables) HTML 142K 146: R59 Stock-Based Compensation Plans (Exelon, HTML 238K Generation, ComEd, PECO and BGE) (Tables) 147: R60 Earnings Per Share and Equity (Tables) HTML 102K 148: R61 Changes in Accumulated Other Comprehensive Income HTML 361K (Tables) 149: R62 Commitments and Contingencies (Tables) HTML 334K 150: R63 Supplemental Financial Information (Tables) HTML 850K 151: R64 Segment Information (Tables) HTML 475K 152: R65 Related Party Transactions (Tables) HTML 441K 153: R66 Quarterly Data (Unaudited) (Tables) HTML 282K 154: R67 Significant Accounting Policies - Narrative HTML 145K (Details) 155: R68 Significant Accounting Policies - Summary of HTML 105K Capitalized Software Costs (Details) 156: R69 Significant Accounting Policies - Summary of Total HTML 109K Interest Incurred, Capitalized and Credits to AFUDC (Details) 157: R70 Significant Accounting Policies Balance Sheet HTML 112K Classification of Deferred Taxes (Details) 158: R71 Variable Interest Entities - Narrative (Details) HTML 186K 159: R72 Variable Interest Entities - Carrying Amounts and HTML 119K Classification of Consolidated VIE Assets and Liabilities (Details) 160: R73 Variable Interest Entities - Assets and HTML 243K Liabilities of VIEs which Creditors or Beneficiaries have No Recourse (Details) 161: R74 Variable Interest Entities - Summary of HTML 137K Significant Unconsolidated VIEs (Details) 162: R75 Regulatory Matters - Narrative (Details) HTML 599K 163: R76 Regulatory Matters - Estimated Commitments related HTML 109K to PJM Agreements (Details) 164: R77 Regulatory Matters - Schedule of Regulatory Assets HTML 270K (Details) 165: R78 Regulatory Matters - Schedule of Regulatory HTML 166K Liabilities (Details) 166: R79 Regulatory Matters - Purchase of Receivables HTML 104K Programs (Details) 167: R80 Regulatory Matters Annual Electric Distribution HTML 105K Filings (Details) 168: R81 Mergers, Acquisitions and Dispositions - Narrative HTML 298K (Details) 169: R82 Mergers, Acquisitions and Dispositions - Summary HTML 119K of Integrys Energy Group Acquisition (Details) 170: R83 Mergers, Acquisitions and Dispositions - Costs HTML 98K Recognized after Closing of Merger (Details) 171: R84 Mergers, Acquisitions and Dispositions - Summary HTML 112K of Asset Divestitures (Details) 172: R85 Mergers, Acquisitions and Dispositions - Summary HTML 115K of Major Classes of Assets and Liabilities Held for Sale (Details) 173: R86 Investment in Constellation Energy Nuclear Group, HTML 221K LLC - Narrative (Details) 174: R87 Investment in Constellation Energy Nuclear Group, HTML 121K LLC - Schedule of Assets and Liabilities of CENG (Details) 175: R88 Accounts Receivable - Schedule of Estimated HTML 110K Unbilled Revenues (Details) 176: R89 Accounts Receivable - Narrative (Details) HTML 99K 177: R90 Property, Plant and Equipment - Summary of HTML 213K Property, Plant and Equipment (Details) 178: R91 Property, Plant and Equipment - Annual HTML 108K Depreciation Provisions as Percentage of Average Service Life (Details) 179: R92 Property, Plant and Equipment - Narrative HTML 95K (Details) 180: R93 Impairment of Long-lived Assets - Narrative HTML 126K (Details) 181: R94 Impairment of Long-lived Assets - Components of HTML 95K Net Investment in Long-term Leases (Details) 182: R95 Jointly Owned Electric Utility Plant - Ownership HTML 172K Interests in Jointly Owned Electric Plants and Transmission Facilities (Details) 183: R96 Intangible Assets - Schedule of Goodwill (Details) HTML 112K 184: R97 Intangible Assets - Narrative (Details) HTML 119K 185: R98 Intangible Assets - Schedule of Other Intangible HTML 214K Assets (Details) 186: R99 Intangible Assets - Summary of Amortization HTML 99K Expense (Details) 187: R100 Fair Value of Financial Assets and Liabilities - HTML 183K Fair Value of Financial Liabilities Recorded at the Carrying Amount (Details) 188: R101 Fair Value of Financial Assets and Liabilities - HTML 1.04M Fair Value Measurement of Assets and Liabilities, Recurring and Nonrecurring (Details) 189: R102 Fair Value of Financial Assets and Liabilities - HTML 234K Fair Value Reconciliation of Level 3 Assets and Liabilities Measured on a Recurring Basis (Details) 190: R103 Fair Value of Financial Assets and Liabilities - HTML 90K Narrative (Details) 191: R104 Fair Value of Financial Assets and Liabilities - HTML 221K Fair Value Assets and Liabilities Measure on Recurring Basis Gain Loss Included in Earnings (Details) 192: R105 Fair Value of Financial Assets and Liabilities - HTML 146K Fair Value Inputs Assets Quantitative Information (Details) 193: R106 Derivative Financial Instruments - Narrative HTML 236K (Details) 194: R107 Derivative Financial Instruments - Summary of HTML 155K Interest Rate and Foreign Currency Hedges (Details) 195: R108 Derivative Financial Instruments - Summary of HTML 107K Gains and Losses on Hedges (Details) 196: R109 Derivative Financial Instruments - Summary of HTML 170K Derivative Fair Value Balances (Details) 197: R110 Derivative Financial Instruments - Summary of AOCI HTML 133K related to Cash Flow Hedges (Details) 198: R111 Derivative Financial Instruments - Summary of HTML 142K Economic Hedges (Details) 199: R112 Derivative Financial Instruments - Summary of HTML 99K Proprietary Trading Activities (Details) 200: R113 Derivative Financial Instruments - Summary of HTML 112K Credit Risk Exposure (Details) 201: R114 Derivative Financial Instruments - Net Credit HTML 105K Exposure by Type of Counterparty (Details) 202: R115 Derivative Financial Instruments - Summary of HTML 100K Credit Risk Related Contingent Features (Details) 203: R116 Debt and Credit Agreements - Commercial Paper HTML 140K Borrowings Outstanding (Details) 204: R117 Debt and Credit Agreements - Summary of Bank HTML 146K Commitments, Credit Facility Borrowings and Available Capacity (Details) 205: R118 Debt and Credit Agreements - Summary of Short-term HTML 107K Borrowing Activities (Details) 206: R119 Debt and Credit Agreements - Narrative (Details) HTML 344K 207: R120 Debt and Credit Agreements - Summary of Credit HTML 105K Facility Thresholds (Details) 208: R121 Debt and Credit Agreements - Summary of Interest HTML 96K Coverage Ratios (Details) 209: R122 Debt and Credit Agreements - Summary of HTML 261K Outstanding Long-term Debt (Details) 210: R123 Debt and Credit Agreements - Schedule of Long-term HTML 141K Debt Maturities (Details) 211: R124 Income Taxes - Components of Income Tax Expense HTML 126K (Benefit) from Continuing Operations (Details) 212: R125 Income Taxes - Reconciliation to Effective Tax HTML 153K Rate (Details) 213: R126 Income Taxes - Tax Effects of Temporary HTML 150K Differences and Carryforwards (Details) 214: R127 Income Taxes - Schedule of Carryforwards and HTML 120K Corresponding Valuation Allowances (Details) 215: R128 Income Taxes - Reconciliation of Unrecognized Tax HTML 126K Benefits (Details) 216: R129 Income Taxes - Narrative (Details) HTML 131K 217: R130 Income Taxes - Summary of Interest Receivable HTML 97K (Payable) (Details) 218: R131 Income Taxes - Summary of Interest Expense HTML 98K (Income) (Details) 219: R132 Asset Retirement Obligations - Nuclear HTML 110K Decommissioning Asset Retirement Obligation Rollforward (Details) 220: R133 Asset Retirement Obligations - Narrative (Details) HTML 137K 221: R134 Asset Retirement Obligations - Unrealized Gain on HTML 97K NDT Funds (Details) 222: R135 Asset Retirement Obligations - Pledged Assets and HTML 99K Payables to ZionSolutions (Details) 223: R136 Asset Retirement Obligations - Non-Nuclear Asset HTML 142K Retirement Obligations Rollforward (Details) 224: R137 Implications of Potential Early Plant Retirements HTML 115K Implications of Potential Early Plant Retirements (Details) 225: R138 Retirement Benefits - Narrative (Details) HTML 173K 226: R139 Retirement Benefits - Summary of Changes in HTML 128K Benefit Obligations (Details) 227: R140 Retirement Benefits - Summary of Changes in Plan HTML 116K Assets (Details) 228: R141 Retirement Benefits - Balance Sheet locations of HTML 104K Benefit Obligations and Plan Assets (Details) 229: R142 Retirement Benefits - Projected Benefit HTML 101K Obligations and Accumulated Benefit Obligations in Excess of Plan Assets (Details) 230: R143 Retirement Benefits - Components of Net Periodic HTML 113K Benefit Cost (Details) 231: R144 Retirement Benefits - Components of Accumulated HTML 115K Other Comprehensive Income and Regulatory Assets (Liabilities) related to Retirement Plans (Details) 232: R145 Retirement Benefits - Gross Accumulated Other HTML 107K Comprehensive Loss and Regulatory Assets (Liabilities) not Recognized as Components of Periodic Benefit Cost (Details) 233: R146 Retirement Benefits - Components of Accumulated HTML 110K Other Comprehensive Income and Regulatory Assets expected to be Amortized as Components of Periodic Benefit Cost (Details) 234: R147 Retirement Benefits - Assumptions Used in HTML 141K Calculations (Details) 235: R148 Retirement Benefits - Effects of One Percentage HTML 97K Point Change in Assumed Health Care Cost Trend Rates (Details) 236: R149 Retirement Benefits - Contributions made to HTML 155K Pension and Other Postretirement Benefit Plans (Details) 237: R150 Retirement Benefits - Estimated Future Benefit HTML 109K Payments (Details) 238: R151 Retirement Benefits - Allocated Portion of Pension HTML 104K and Postretirement Benefit Plan Costs (Details) 239: R152 Retirement Benefits - Pension and Other HTML 112K Postretirement Benefit Plan Target Asset Allocations (Details) 240: R153 Retirement Benefits - Fair Value Measurements of HTML 323K Pension and Postretirement Benefit Plan Assets (Details) 241: R154 Retirement Benefits - Reconciliation of Level 3 HTML 176K Assets and Liabilities measured at Fair Value for Pension and Other Postretirement Benefit Plans (Details) 242: R155 Retirement Benefits - Summary of Defined HTML 107K Contribution Savings Plan (Details) 243: R156 Contingently Redeemable Noncontrolling Interest HTML 99K Contingently Redeemable Noncontrolling Interest (Details) 244: R157 Shareholder Equity Schedule of Common Stock HTML 102K Authorided and Outstanding (Details) 245: R158 Shareholder Equity Shareholder Narrative (Details) HTML 108K 246: R159 Shareholder Equity Preferred and Preference HTML 128K Securities (Details) 247: R160 Schedule of Common Stock Authorized and HTML 100K Outstanding (Details) 248: R161 Stock-Based Compensation Plans - Narrative HTML 197K (Details) 249: R162 Stock-Based Compensation Plans - Schedule of HTML 94K Stock-based Compensation Expense (Details) 250: R163 Stock-Based Compensation Plans - Schedule of HTML 104K Pre-Tax Stock-based Compensation Expense (Details) 251: R164 Stock-Based Compensation Plans - Components of Tax HTML 94K Benefits from Stock-based Compensation (Details) 252: R165 Stock-Based Compensation Plans - Assumptions used HTML 100K in Calculating Fair Value of Options (Details) 253: R166 Stock-Based Compensation Plans - Summary of Stock HTML 125K Option Activity (Details) 254: R167 Stock-Based Compensation Plans - Summary of HTML 93K Information of Stock Options Exercised (Details) 255: R168 Stock-Based Compensation Plans - Summary of HTML 108K Nonvested Stock Option Activity (Details) 256: R169 Stock-Based Compensation Plans - Summary of HTML 119K Nonvested Restrict Stock Unit Activity (Details) 257: R170 Stock-Based Compensation Plans - Summary of HTML 123K Nonvested Performance Share Awards Activity (Details) 258: R171 Stock-Based Compensation Plans - Balance Sheet HTML 96K Classification of Obligations related to Outstanding Performance Share Awards Not Yet Settled (Details) 259: R172 Earnings Per Share and Equity - Schedule of HTML 101K Earnings per Share (Details) 260: R173 Earnings Per Share and Equity - Narrative HTML 98K (Details) 261: R174 Changes in Accumulated Other Comprehensive Income HTML 154K - Schedule of Changes in AOCI (Details) 262: R175 Changes in Accumulated Other Comprehensive Income HTML 199K - Reclassifications out of Accumulated Other Comprehensive Income (Details) 263: R176 Changes in Accumulated Other Comprehensive Income HTML 107K - Components of Accumulated Other Comprehensive Income (Details) 264: R177 Commitments and Contingencies - Narrative HTML 244K (Details) 265: R178 Commitments and Contingencies - Schedule of HTML 104K Government Agreement Settlements (Details) 266: R179 Commitments and Contingencies - Schedule of Energy HTML 90K Supply Procurement, Curtailment Services, REC and AEC Purchase Commitments (Details) 267: R180 Commitments and Contingencies - Schedule of HTML 206K Commercial Commitments (Details) 268: R181 Commitments and Contingencies - Schedule of Equity HTML 101K Investment Commitments (Details) 269: R182 Commitments and Contingencies - Schedule of HTML 136K Minimum Future Operating Lease Payments (Details) 270: R183 Commitments and Contingencies - Schedule of Future HTML 102K Rental Expense under Operating Leases (Details) 271: R184 Commitments and Contingencies - Schedule of HTML 108K Environmental Liabilities (Details) 272: R185 Supplemental Financial Information - Summary of HTML 115K Taxes other than Income (Details) 273: R186 Supplemental Financial Information - Summary of HTML 160K Other Income (Expense) (Details) 274: R187 Supplemental Financial Information - Summary of HTML 135K Depreciation, Amortization, Accretion and Depletion (Details) 275: R188 Supplemental Financial Information - Supplemental HTML 261K Cash Flow Information (Details) 276: R189 Supplemental Financial Information - Narrative HTML 102K (Details) 277: R190 Supplemental Financial Information - Supplemental HTML 199K Balance Sheet Information (Details) 278: R191 Segment Information - Narrative (Details) HTML 91K 279: R192 Segment Information - Analysis and Reconciliation HTML 360K to Consolidated Financial Statements (Details) 280: R193 Segment Information - Generation Total Revenues HTML 187K (Details) 281: R194 Segment Information - Generation Total Revenues HTML 157K Net of Purchased Power and Fuel Expense (Details) 282: R195 Related Party Transactions - Related Party HTML 332K Transactions included in Consolidated Income Statement (Details) 283: R196 Related Party Transactions - Related Party HTML 203K Transactions included in Consolidated Balance Sheet (Details) 284: R197 Quarterly Data (Unaudited) - Quarterly Operating HTML 129K Results (Details) 285: R198 Quarterly Data (Unaudited) - Quarterly Per Share HTML 104K Information (Details) 286: R199 Quarterly Data (Unaudited) - Quarterly Composite HTML 97K Common Stock Prices and Dividends (Details) 287: R200 Schedule I - Condensed Financial Information of HTML 189K Parent (Exelon Corporate) - Condensed Statements of Operations and Other Comprehensive Income (Details) 288: R201 Schedule I - Condensed Financial Information of HTML 153K Parent (Exelon Corporate) - Condensed Statements of Cash Flows (Details) 289: R202 Schedule I - Condensed Financial Information of HTML 242K Parent (Exelon Corporate) - Condensed Balance Sheet (Details) 290: R203 Schedule I - Condensed Financial Information of HTML 98K Parent (Exelon Corporate) - Condensed Balance Sheet - Phantom (Details) 291: R204 Schedule I - Condensed Financial Information of HTML 101K Parent (Exelon Corporate) - Basis of Presentation - Narrative (Details) 292: R205 Schedule I - Condensed Financial Information of HTML 101K Parent (Exelon Corporate) - Debt and Credit Agreements - Narrative (Details) 293: R206 Schedule I - Condensed Financial Information of HTML 129K Parent (Exelon Corporate) - Debt and Credit Agreements - Schedule of Outstanding Long-term Debt (Details) 294: R207 Schedule I - Condensed Financial Information of HTML 112K Parent (Exelon Corporate) - Debt and Credit Agreements - Schedule of Debt Maturities (Details) 295: R208 Schedule I - Condensed Financial Information of HTML 161K Parent (Exelon Corporate) - Related Party Transactions - Summary of Related Party Transactions (Details) 296: R209 Schedule II - Valuation and Qualifying Accounts HTML 163K (Details) 297: R9999 Uncategorized Items - exc-20141231.xml HTML 112K 299: XML IDEA XML File -- Filing Summary XML 483K 298: EXCEL IDEA Workbook of Financial Reports XLSX 525K 82: EX-101.INS XBRL Instance -- exc-20141231 XML 33.92M 84: EX-101.CAL XBRL Calculations -- exc-20141231_cal XML 715K 85: EX-101.DEF XBRL Definitions -- exc-20141231_def XML 4.68M 86: EX-101.LAB XBRL Labels -- exc-20141231_lab XML 6.61M 87: EX-101.PRE XBRL Presentations -- exc-20141231_pre XML 5.10M 83: EX-101.SCH XBRL Schema -- exc-20141231 XSD 905K 300: ZIP XBRL Zipped Folder -- 0001193125-16-457652-xbrl Zip 1.80M
Baltimore Gas and Electric Co Computation of Ratio of Earnings to Fixed Charges |
Exhibit 12.5
BGE
Ratio of Earnings to Fixed Charges
Years Ended December 31, | ||||||||||||||||||||
2011 | 2012 | 2013 | 2014 | 2015 | ||||||||||||||||
Pre-tax income from continuing operations |
211 | 11 | 344 | 351 | 477 | |||||||||||||||
Less: Capitalized interest |
(7 | ) | (5 | ) | (6 | ) | (12 | ) | (14 | ) | ||||||||||
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Pre-tax income from continuing operations after adjustment for income or loss from equity investees and capitalized interest |
204 | 6 | 338 | 339 | 463 | |||||||||||||||
Fixed Charges: |
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Interest expensed and capitalized, amortization of debt discount and premium on all indebtedness |
136 | 149 | 127 | 118 | 113 | |||||||||||||||
Interest component of rental expense (a) |
5 | 4 | 4 | 4 | 11 | |||||||||||||||
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Total fixed charges |
141 | 153 | 131 | 122 | 124 | |||||||||||||||
Pre-tax income from continuing operations after adjustment for income or loss from equity investees, capitalized interest and preference security dividend requirements plus fixed charges |
345 | 159 | 469 | 461 | 587 | |||||||||||||||
Ratio of earnings to fixed charges |
2.4 | 1.0 | 3.6 | 3.8 | 4.7 |
(a) | Represents one-third of rental expense relating to operating leases, which is a reasonable approximation of the interest factor. |
BGE
Ratio of Earnings to Fixed Charges and Preference Stock Dividends
Years Ended December 31, | ||||||||||||||||||||
2011 | 2012 | 2013 | 2014 | 2015 | ||||||||||||||||
Pre-tax income from continuing operations |
211 | 11 | 344 | 351 | 477 | |||||||||||||||
Less: Capitalized interest |
(7 | ) | (5 | ) | (6 | ) | (12 | ) | (14 | ) | ||||||||||
Preference security dividend requirements |
(20 | ) | (20 | ) | (21 | ) | (22 | ) | (22 | ) | ||||||||||
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|
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Pre-tax income from continuing operations after adjustment for income or loss from equity investees and capitalized interest |
184 | (14 | ) | 317 | 317 | 441 | ||||||||||||||
Fixed Charges: |
||||||||||||||||||||
Interest expensed and capitalized, amortization of debt discount and premium on all indebtedness |
136 | 149 | 127 | 118 | 113 | |||||||||||||||
Interest component of rental expense (a) |
5 | 4 | 4 | 4 | 11 | |||||||||||||||
Preference security dividend requirements |
20 | 20 | 21 | 22 | 22 | |||||||||||||||
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Total fixed charges |
161 | 173 | 152 | 144 | 146 | |||||||||||||||
Pre-tax income from continuing operations after adjustment for income or loss from equity investees, capitalized interest and preference security dividend requirements plus fixed charges |
345 | 159 | 469 | 461 | 587 | |||||||||||||||
Ratio of earnings to fixed charges and preferred stock dividends |
2.1 | 0.9 | (b) | 3.1 | 3.2 | 4.0 |
(a) | Represents one-third of rental expense relating to operating leases, which is a reasonable approximation of the interest factor. |
(b) | The ratio coverage was less than 1:1. The registrant must generate additional earnings of $14 million to achieve a coverage ratio of 1:1. |
This ‘10-K’ Filing | Date | Other Filings | ||
---|---|---|---|---|
Filed on: | 2/10/16 | SC 13G/A | ||
For Period end: | 12/31/15 | 11-K, 4, 5, 8-K | ||
12/31/11 | 10-K, 11-K, 4, 5, ARS | |||
List all Filings |
As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 2/25/22 Exelon Corp. 10-K 12/31/21 313:198M 2/24/21 Exelon Corp. 10-K 12/31/20 310:85M |