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ACCUMULATED OTHER COMPREHENSIVE INCOME (Tables)
12 Months Ended
Dec. 31, 2014
Notes To Consolidated Financial Statements [Abstract]  
Schedule Of Accumulated Other Comprehensive Income Loss Table Text Block
  For the Year Ended December 31, 2014 For the Year Ended December 31, 2013
 Qualified Unrealized      Qualified Unrealized     
 Cash Flow Gains/(Losses) Defined   Cash Flow Gains/(Losses) Defined  
 Hedging  on Marketable Benefit   Hedging  on Marketable Benefit  
(Millions of Dollars)Instruments  Securities Plans Total Instruments  Securities Plans Total
AOCI as of January 1st (14.4)  0.4  (32.0)  (46.0)  (16.4)  1.3  (57.8)  (72.9)
                         
OCI Before Reclassifications  -   0.3   (34.2)   (33.9)   -   (0.9)   19.4   18.5
Amounts Reclassified from AOCI  2.0   -   3.9   5.9  2.0   -  6.4  8.4
Net OCI 2.0  0.3  (30.3)  (28.0)  2.0  (0.9)  25.8  26.9
AOCI as of December 31st$(12.4) $0.7 $(62.3) $(74.0) $(14.4) $0.4 $(32.0) $(46.0)
Schedule Of Comprehensive Income Loss [Table Text Block]
 For the Years Ended December 31,  
 2014 2013 2012  
 Amounts Reclassified Amounts Reclassified Amounts Reclassified Statements of Income
(Millions of Dollars)from AOCI from AOCI from AOCI Line Item Impacted
Qualified Cash Flow Hedging Instruments$(3.4) $(3.4) $(3.3) Interest Expense
Tax Effect 1.4  1.4  1.3 Income Tax Expense
Qualified Cash Flow Hedging Instruments, Net of Tax$(2.0) $(2.0) $(2.0)  
           
Defined Benefit Plan Costs:          
Amortization of Actuarial Losses$(6.2) $(10.5) $(8.9) Operations and Maintenance (1)
Amortization of Prior Service Cost (0.2)  (0.2)  (0.2) Operations and Maintenance (1)
Amortization of Transition Obligation 0.0  0.0  (0.2) Operations and Maintenance (1)
Total Defined Benefit Plan Costs (6.4)  (10.7)  (9.3)  
Tax Effect 2.5  4.3  3.5 Income Tax Expense
Defined Benefit Plan Costs, Net of Tax$(3.9) $(6.4) $(5.8)  
           
Total Amounts Reclassified from AOCI, Net of Tax$(5.9) $(8.4) $(7.8)