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Income Statements (SYSTEM ENERGY RESOURCES, INC.) (Unaudited) (USD $)
In Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
OPERATING REVENUES        
Electric $ 2,212,038 $ 2,214,108 $ 4,077,936 $ 4,221,038
Operation and Maintenance:        
Fuel, fuel-related expenses, and gas purchased for resale 563,333 631,546 1,071,026 1,190,214
Nuclear refueling outage expenses 62,966 64,221 126,951 126,510
Other operation and maintenance 712,496 700,204 1,368,245 1,402,692
Decommissioning 55,497 52,467 110,762 104,043
Taxes other than income taxes 129,215 126,968 254,449 262,380
Depreciation and amortization 264,206 255,567 529,090 524,771
Other regulatory charges (credits) - net 5,601 (10,722) 491 17,370
TOTAL 2,244,541 2,236,709 4,274,859 4,519,341
OPERATING INCOME 558,738 626,241 1,069,629 1,102,955
OTHER INCOME        
Allowance for equity funds used during construction 20,753 17,630 38,042 30,926
Interest and investment income 35,921 34,955 62,668 83,164
Miscellaneous - net (16,962) (16,780) (26,360) (17,302)
TOTAL 39,712 35,805 74,350 96,788
INTEREST AND OTHER CHARGES        
Interest expense 136,049 148,179 272,183 327,379
Allowance for borrowed funds used during construction (9,150) (10,323) (17,684) (18,325)
TOTAL 126,899 137,856 254,499 309,054
INCOME BEFORE INCOME TAXES 471,551 524,190 889,480 890,689
Income taxes 150,953 203,907 315,203 351,592
NET INCOME 320,598 320,283 574,277 [1] 539,097 [1]
System Energy
       
OPERATING REVENUES        
Electric 129,120 124,419 257,515 253,002
Operation and Maintenance:        
Fuel, fuel-related expenses, and gas purchased for resale 19,485 12,307 39,175 27,265
Nuclear refueling outage expenses 4,067 4,545 8,089 9,218
Other operation and maintenance 34,886 31,405 63,843 60,290
Decommissioning 7,614 7,772 15,816 15,406
Taxes other than income taxes 5,790 6,058 11,213 12,089
Depreciation and amortization 25,583 24,930 54,246 53,301
Other regulatory charges (credits) - net (2,301) (4,890) (5,250) (5,615)
TOTAL 95,124 82,127 187,132 172,314
OPERATING INCOME 33,996 42,292 70,383 80,688
OTHER INCOME        
Allowance for equity funds used during construction 5,376 2,414 9,521 4,232
Interest and investment income 2,508 1,236 5,049 6,622
Miscellaneous - net (145) (97) (249) (229)
TOTAL 7,739 3,553 14,321 10,625
INTEREST AND OTHER CHARGES        
Interest expense 7,736 12,411 19,125 22,720
Allowance for borrowed funds used during construction (1,563) (835) (2,916) (1,465)
TOTAL 6,173 11,576 16,209 21,255
INCOME BEFORE INCOME TAXES 35,562 34,269 68,495 70,058
Income taxes 13,576 13,827 27,173 29,003
NET INCOME $ 21,986 $ 20,442 $ 41,322 $ 41,005
[1] Consolidated net income and preferred dividend requirements of subsidiaries for both 2010 and 2011 include $6.6 million of preferred dividends on subsidiaries' preferred stock without sinking fund that is not presented as equity.