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Environmental Matters (details) (USD $)
6 Months Ended
Jun. 30, 2013
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Accrual for Environmental Loss Contingencies [Abstract]                  
Environmental Noncurrent Liabilities $ 49,973,000 $ 45,235,000   $ 59,063,000          
Environmental Current Liabilities 14,581,000 24,466,000   17,665,000          
Environmental Regulatory Table [Abstract]                  
Cash Paid for Environmental Sites 83,936,000 71,124,000   62,468,000          
Regulatory Assets, Noncurrent 393,652,000 382,255,000 362,472,000 362,290,000 364,132,000 367,536,000 325,692,000 323,371,000 343,085,000
Environmental Remediation Obligations [Abstract]                  
Damages Sought On Environmental Claims 50,000,000                
Portland Harbor draft FS range $169 million to $1.8 billion                
Portland Harbor Number Of Potentially Responsible Parties more than 100                
Gasco Siltronic Sediments draft EE/CA range $38.5 million to $350 million                
Gasco Siltronic Sediments Project Liability 34,000,000                
Gasco Siltronic Sediments Other Liability 4,500,000.0                
Gasco Groundwater Source Control range $10.7 million and $25 million                
Gasco Siltronic Sediments [Member]
                 
Accrual for Environmental Loss Contingencies [Abstract]                  
Environmental Noncurrent Liabilities 38,058,000 36,087,000   43,066,000          
Environmental Current Liabilities 427,000 2,207,000   2,340,000          
Portland Harbor Other [Member]
                 
Accrual for Environmental Loss Contingencies [Abstract]                  
Environmental Noncurrent Liabilities 2,598,000 3,160,000   3,409,000          
Environmental Current Liabilities 1,729,000 1,767,000   1,286,000          
Gasco Upland [Member]
                 
Accrual for Environmental Loss Contingencies [Abstract]                  
Environmental Noncurrent Liabilities 8,230,000 5,028,000   10,769,000          
Environmental Current Liabilities 11,354,000 18,722,000   12,606,000          
Siltronic Upland [Member]
                 
Accrual for Environmental Loss Contingencies [Abstract]                  
Environmental Noncurrent Liabilities 392,000 379,000   620,000          
Environmental Current Liabilities 496,000 637,000   467,000          
Central Service Center [Member]
                 
Accrual for Environmental Loss Contingencies [Abstract]                  
Environmental Noncurrent Liabilities 338,000 396,000   436,000          
Environmental Current Liabilities 100,000 140,000   100,000          
Front Street [Member]
                 
Accrual for Environmental Loss Contingencies [Abstract]                  
Environmental Noncurrent Liabilities 178,000 0   646,000          
Environmental Current Liabilities 475,000 993,000   866,000          
Oregon Steel Mills [Member]
                 
Accrual for Environmental Loss Contingencies [Abstract]                  
Environmental Noncurrent Liabilities 179,000 185,000   117,000          
Environmental Current Liabilities 0 0   0          
Environmental Restoration Costs [Member]
                 
Environmental Regulatory Table [Abstract]                  
Regulatory Assets, Noncurrent $ 120,224,000 [1],[2] $ 121,144,000 [1],[2]   $ 113,369,000 [1],[2]          
[1] Environmental costs relate to specific sites approved for regulatory deferral by the Public Utility Commission of Oregon (OPUC) and Washington Utilities and Transportation Commission (WUTC). In Oregon, we earn a carrying charge on amounts paid, whereas amounts accrued but not yet paid do not earn a carrying charge until expended. In Washington, a carrying charge related to deferred amounts will be determined in a future proceeding. In the 2012 Oregon general rate case, the OPUC authorized a Site Remediation and Recovery Mechanism (SRRM) that allows the Company to recover prudently incurred environmental costs, subject to an earnings test. For further information on environmental matters, see Note 13 and Note 15.
[2] Total regulatory asset deferral includes cash paid, remaining liability, and interest, net of insurance reimbursement.