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Summary of Significant Accounting Policies (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended 3 Months Ended 12 Months Ended 3 Months Ended 12 Months Ended 3 Months Ended 12 Months Ended
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2009
Dec. 31, 2010
As previously reported
Sep. 30, 2010
As previously reported
Jun. 30, 2010
As previously reported
Mar. 31, 2010
As previously reported
Dec. 31, 2010
As previously reported
Dec. 31, 2009
As previously reported
Dec. 31, 2010
Restatements
Sep. 30, 2010
Restatements
Jun. 30, 2010
Restatements
Mar. 31, 2010
Restatements
Dec. 31, 2010
Restatements
Dec. 31, 2009
Restatements
Dec. 31, 2010
Amount reported after reclassification
Sep. 30, 2010
Amount reported after reclassification
Jun. 30, 2010
Amount reported after reclassification
Mar. 31, 2010
Amount reported after reclassification
Dec. 31, 2010
Amount reported after reclassification
Dec. 31, 2009
Amount reported after reclassification
Operating Revenues                                                  
Other revenues         $ 4,185 $ 8,521 $ 4,469         $ 82,967 $ 26,723         $ (74,446) $ (22,254)         $ 8,521 $ 4,469
Operating Expenses                                                  
Operations and maintenance 228,632 210,035 210,590 255,029 904,286 870,185 822,300 232,991 221,469 215,104 207,842 877,406 831,863 (2,386) (1,811) (1,495) (1,529) (7,221) (9,563) 230,605 219,658 213,609 206,313 870,185 822,300
Depreciation and amortization         427,054 414,479 407,354         414,555 407,463         (76) (109)         414,479 407,354
Taxes other than income taxes         147,408 135,328 123,270         135,334 123,277         (6) (7)         135,328 123,270
Other expenses         6,659 7,509 5,984         65,651 24,534         (58,142) (18,550)         7,509 5,984
Other                                                  
Other income         3,111 6,387 5,159         6,368 5,278         19 (119)         6,387 5,159
Other expense (Note 19)         (10,451) (9,921) (14,300)         (9,764) (14,269)         (157) (31)         (9,921) (14,300)
Interest Expense                                                  
Interest charges         241,995 244,174 237,766           237,527           239           237,766
Allowance for borrowed funds used during construction         (18,358) (16,479) (10,379)         (16,539) (10,430)         60 51         (16,479) (10,379)
Income Taxes 7,375 131,416 50,818 (6,005) 183,604 160,869 138,551 (3,822) 123,486 51,829 (7,172) 164,321 136,506 (1,191) (1,139) (641) (481) (3,452) 2,045 (5,013) 122,347 51,188 (7,653) 160,869 138,551
Income From Continuing Operations 19,544 253,273 93,185 (10,368) 355,634 344,851 256,048 12,203 231,828 94,584 11,983 350,598 252,558 (1,919) (2,266) (1,270) (292) (5,747) 3,490 10,284 229,562 93,314 11,691 344,851 256,048
Income From Discontinued Operations         11,306 25,358 (183,284)         19,611 (179,794)         5,747 (3,490)         25,358 (183,284)
Balance Sheets                                                  
Current Assets - Other regulatory assets 69,072       69,072 62,286               62,286       62,286   62,286       62,286  
Current Assets - Deferred income taxes 130,571       130,571 124,897   94,602       94,602   30,295       30,295   124,897       124,897  
Deferred Debits - Regulatory assets 1,352,079       1,352,079 986,370   1,048,656       1,048,656   (62,286)       (62,286)   986,370       986,370  
Current Liabilities - Deferred fuel and purchased power regulatory liability           58,442               58,442       58,442   58,442       58,442  
Current Liabilities - Other regulatory liabilities 88,362       88,362 80,526               80,526       80,526   80,526       80,526  
Deferred Credits and Other - Deferred income taxes 1,925,388       1,925,388 1,863,861   1,833,566       1,833,566   30,295       30,295   1,863,861       1,863,861  
Deferred Credits and Other - Deferred fuel and purchased power regulatory liability               58,442       58,442   (58,442)       (58,442)              
Deferred Credits and Other - Regulatory liabilities 737,332       737,332 614,063   694,589       694,589   (80,526)       (80,526)   614,063       614,063  
Cash Flows from Operating Activities                                                  
Other current assets         (3,079) 9,375 38,406         5,246 24,647         4,129 13,759         9,375 38,406
Other current liabilities         20,358 2,921 57,280         5,204 29,274         (2,283) 28,006         2,921 57,280
Change in other regulatory liabilities       62,000 37,009 56,801 82,650         54,518 110,642         2,283 (27,992)         56,801 82,650
Change in other long-term assets         (41,722) (47,940) (64,629)         (43,189) (47,899)         (4,751) (16,730)         (47,940) (64,629)
Expenditures for real estate investments                       (622) (2,957)         622 2,957            
Other changes in real estate assets                       4,068 (4,216)         (4,068) 4,216            
Change in other long-term liabilities         $ 58,484 $ (97,388) $ 12,161         $ (101,456) $ 16,337         $ 4,068 $ (4,216)         $ (97,388) $ 12,161