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Short-Term and Long-Term Debt (Details) (USD $)
In Millions, unless otherwise specified
0 Months Ended 3 Months Ended 0 Months Ended 0 Months Ended
Dec. 10, 2013
Apr. 02, 2013
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2013
Lines of Credit [Member]
Dec. 31, 2012
Lines of Credit [Member]
Nov. 04, 2013
ALLETE LOC Nov2018 [Member] [Member]
Nov. 04, 2013
ALLETE LOC June 2015 [Member]
Nov. 04, 2013
ALLETE LOC January 2014 [Member]
Dec. 31, 2012
ALLETE Bonds 4.86% Due 2013 [Member]
Apr. 02, 2013
ALLETE Bonds 1.83% Due April2018 [Member]
Apr. 02, 2013
ALLETE Bonds 3.30% Due October2028 [Member]
Apr. 02, 2013
ALLETE Bonds 4.21% Due October2043 [Member]
Aug. 26, 2013
ALLETE Amended Term Loan Variable Rate Due August 2015 [Member]
Aug. 26, 2013
ALLETE Amended Term Loan Variable Rate Due 2015 Effective August 25, 2013 [Member]
Aug. 26, 2013
ALLETE Amended Term Loan Variable Rate Due 2015 Effective August 26, 2014 [Member]
Dec. 10, 2013
ALLETE Bonds 3.69% Due March2024 [Member]
Dec. 10, 2013
ALLETE Bonds 4.95% Due March2044 [Member]
Dec. 10, 2013
ALLETE Bonds 3.40% Due July2022 [Member]
Dec. 10, 2013
ALLETE Bonds 5.05% Due July2044 [Member]
Financial Covenants [Abstract]                                        
Required Indebtedness to Total Capital Ratio     0.65                                  
Actual Indebtedness to Total Capital Ratio     0.45                                  
Maturities of Long-term Debt [Abstract]                                        
Long-Term Debt     $ 1,083.0 $ 933.6                                
Long-Term Debt Due Within One Year     27.2 84.5           60.0                    
Long-Term Debt, 2014 Maturities     143.0                                  
Long-Term Debt, 2015 Maturities     22.3                                  
Long-Term Debt, 2016 Maturities     51.8                                  
Long-Term Debt, 2017 Maturities     1.7                                  
Long-Term Debt, Thereafter Maturities     864.2                                  
Debt Instrument [Line Items]                                        
Short-Term Debt     27.2 84.5                                
Line of Credit Facility, Maximum Borrowing Capacity         406.4 406.4 400.0 250.0 150.0                      
Line of Credit Facility Additional Borrowing Capacity             150.0                          
Letter of Credit Maximum Issuances             60.0                          
Lines of Credit, Current     5.4 0                                
Proceeds from Issuance of First Mortgage Bond   150.0                 50.0 40.0 60.0              
First Mortgage Bonds, Interest Rate                     1.83% 3.30% 4.21%              
Expected Proceeds from Future Issuance of First Mortgage Bond 215.0                               60.0 40.0 75.0 40.0
First Mortgage Bonds, Interest Rate, Future Issuance                                 3.69% 4.95% 3.40% 5.05%
Debt Instrument, Face Amount                           $ 75.0            
Debt Instrument, Description of Variable Rate Basis                           one-month LIBOR            
Debt Instrument, Basis Spread on Variable Rate                           0.875%            
Debt Instrument, Interest Rate, Effective Percentage                             1.70% 1.625%