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Investments in Nuclear Decommissioning Trusts and Other Special Use Funds (Details) - APS - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2020
Mar. 31, 2019
Dec. 31, 2019
Nuclear decommissioning trust fund assets      
Fair Value $ 1,173,149   $ 1,255,870
Total Unrealized Gains 276,150   363,476
Total Unrealized Losses (4,728)   (669)
Amortized cost 697,000   691,000
Realized gains and losses and proceeds from the sale of securities by the nuclear decommissioning trust funds      
Realized gains 3,313 $ 1,103  
Realized losses (2,227) (1,405)  
Proceeds from the sale of securities 195,087 179,048  
Equity securities      
Nuclear decommissioning trust fund assets      
Equity securities 434,667   536,858
Total Unrealized Gains 234,695   337,681
Total Unrealized Losses (1,201)   0
Available for sale-fixed income securities      
Nuclear decommissioning trust fund assets      
Fair Value 735,061   716,137
Total Unrealized Gains 41,455   25,795
Total Unrealized Losses (3,527)   (669)
Fair value of fixed income securities, summarized by contractual maturities      
Less than one year 90,281    
1 year – 5 years 299,561    
5 years – 10 years 112,834    
Greater than 10 years 232,385    
Total 735,061    
Other      
Nuclear decommissioning trust fund assets      
Fair Value 3,421   2,875
Total Unrealized Gains 0   0
Total Unrealized Losses 0   0
Nuclear Decommissioning Trusts [Member]      
Nuclear decommissioning trust fund assets      
Fair Value 920,426   1,010,775
Realized gains and losses and proceeds from the sale of securities by the nuclear decommissioning trust funds      
Realized gains 3,313 1,103  
Realized losses (2,227) (1,405)  
Proceeds from the sale of securities 178,196 122,593  
Nuclear Decommissioning Trusts [Member] | Equity securities      
Nuclear decommissioning trust fund assets      
Equity securities 427,915   529,716
Nuclear Decommissioning Trusts [Member] | Available for sale-fixed income securities      
Nuclear decommissioning trust fund assets      
Fair Value 490,421   478,658
Fair value of fixed income securities, summarized by contractual maturities      
Less than one year 11,911    
1 year – 5 years 137,509    
5 years – 10 years 112,834    
Greater than 10 years 228,167    
Total 490,421    
Nuclear Decommissioning Trusts [Member] | Other      
Nuclear decommissioning trust fund assets      
Fair Value 2,090   2,401
Other Special Use Funds [Member]      
Nuclear decommissioning trust fund assets      
Fair Value 252,723   245,095
Realized gains and losses and proceeds from the sale of securities by the nuclear decommissioning trust funds      
Realized gains 0 0  
Realized losses 0 0  
Proceeds from the sale of securities 16,891 $ 56,455  
Other Special Use Funds [Member] | Equity securities      
Nuclear decommissioning trust fund assets      
Equity securities 6,752   7,142
Other Special Use Funds [Member] | Available for sale-fixed income securities      
Nuclear decommissioning trust fund assets      
Fair Value 244,640   237,479
Other Special Use Funds [Member] | Other      
Nuclear decommissioning trust fund assets      
Fair Value 1,331   $ 474
Coal Reclamation Escrow Accounts [Member] | Available for sale-fixed income securities      
Fair value of fixed income securities, summarized by contractual maturities      
Less than one year 37,498    
1 year – 5 years 18,487    
5 years – 10 years 0    
Greater than 10 years 4,218    
Total 60,203    
Active union medical trust | Available for sale-fixed income securities      
Fair value of fixed income securities, summarized by contractual maturities      
Less than one year 40,872    
1 year – 5 years 143,565    
5 years – 10 years 0    
Greater than 10 years 0    
Total $ 184,437