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Schedule I (Details) (USD $)
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2009
Operating Expenses:                        
Operations                 $ 113,643,000 $ 100,901,000 $ 96,042,000  
Depreciation                 41,336,000 35,749,000 34,018,000  
Energy and Other Taxes 2,749,000 1,494,000 1,865,000 3,878,000 3,095,000 1,673,000 2,121,000 5,300,000 9,986,000 12,189,000 12,142,000  
Operating Income (Loss)                 109,898,000 121,607,000 116,492,000  
Other Income:                        
Equity in Earnings of Subsidiaries                 2,239,000 (810,000) (3,051,000)  
Total Other Income                 11,104,000 15,642,000 4,551,000  
Interest Charges                 18,986,000 24,078,000 21,896,000  
Income Taxes (757,000) (2,576,000) (1,072,000) 15,884,000 3,022,000 (6,034,000) 3,004,000 22,510,000 10,850,000 22,200,000 28,474,000  
Income from Continuing Operations 25,569,000 2,164,000 10,832,000 54,211,000 36,986,000 (5,203,000) 6,245,000 51,831,000 92,776,000 89,859,000 67,285,000  
Equity in Undistributed Earnings of Discontinued Subsidiaries (383,000) (151,000) (498,000) (136,000) (84,000) 65,000 (166,000) (383,000) (1,168,000) (568,000) (633,000)  
Net Income                 91,608,000 89,291,000 66,652,000  
Comprehensive Income (Loss), Net of Tax, Attributable to Parent [Abstract]                        
Net Income                 91,608,000 89,291,000 66,652,000  
Other Comprehensive Loss, Net of Tax:                        
Postretirement Liability Adjustment                 (1,842,000) [1] (5,667,000) [1] (3,302,000) [1]  
Unrealized Gain (Loss) on Available-for-Sale Securities                 500,000 [1] (360,000) [1] 339,000 [1]  
Unrealized (Loss) Gain on Derivatives - Other                 (92,000) [1] (788,000) [1] 249,000 [1]  
Other Comprehensive Income (Loss) - Net of Tax                 (2,667,000) [1] (6,626,000) [1] (2,343,000) [1]  
Combined statutory tax rate                 41.00%      
Retained Earnings [Roll Forward]                        
Retained Earnings - Beginning       341,677,000         341,677,000      
Net Income                 91,608,000 89,291,000 66,652,000  
Dividends Declared - Common Stock                 (50,942,000) (44,975,000) (40,478,000)  
Retained Earnings - Ending 382,127,000       341,677,000       382,127,000 341,677,000    
Statement of Cash Flows [Abstract]                        
CASH PROVIDED BY OPERATING ACTIVITIES                 117,826,000 191,357,000 159,094,000  
CASH FLOWS FROM INVESTING ACTIVITIES:                        
Capital Expenditures                 (253,845,000) (193,119,000) (166,910,000)  
Proceeds from Sale of Property, Plant & Equipment                 29,000 3,500,000 0  
Purchase of Company Owned Life Insurance                 (4,547,000) (4,628,000) (4,354,000)  
Net Cash Provided by (Used In) Investing Activities                 (355,917,000) (224,175,000) (278,566,000)  
CASH FLOWS FROM FINANCING ACTIVITIES:                        
Proceeds from Issuance of Long Term Debt                 235,000,000 0 115,000,000  
Payments for Issuance of Long term Debt                 (1,788,000) (43,000) (1,215,000)  
Net Borrowing from Lines of Credits                 17,500,000 70,714,000 54,087,000  
Dividends on Common Stock                 (50,942,000) (44,975,000) (40,478,000)  
Proceeds from Sale of Common Stock                 70,241,000 13,436,000 0  
Net Cash Provided by (Used in) Financing Activities                 235,191,000 37,993,000 118,012,000  
Net (Decrease) Increase in Cash and Cash Equivalents                 (2,900,000) 5,175,000 (1,460,000)  
Cash and Cash Equivalents at Beginning of Period       7,538,000       2,363,000 7,538,000 2,363,000 3,823,000  
Cash and Cash Equivalents at End of Period 4,638,000       7,538,000       4,638,000 7,538,000 2,363,000  
Property Plant and Equipment:                        
Nonutility Property, Plant and Equipment, at cost 328,638,000       221,051,000       328,638,000 221,051,000    
Accumulated Depreciation (36,208,000)       (26,687,000)       (36,208,000) (26,687,000)    
Property, Plant and Equipment - Net 1,578,021,000       1,352,393,000       1,578,021,000 1,352,393,000    
Investments:                        
Available-for-Sale Securities 7,538,000       6,677,000       7,538,000 6,677,000    
Total Investments 101,266,000       57,150,000       101,266,000 57,150,000    
Current Assets:                        
Cash and Cash Equivalents 4,638,000       7,538,000       4,638,000 7,538,000 2,363,000  
Other 11,833,000       13,287,000       11,833,000 13,287,000    
Total Current Assets 394,837,000       340,609,000       394,837,000 340,609,000    
Other Noncurrent Assets 52,964,000       41,767,000       52,964,000 41,767,000    
Total Assets 2,631,440,000       2,247,510,000       2,631,440,000 2,247,510,000    
Equity:                        
Common Stock SJI, Par Value $1.25, Authorized 60,000,000 shares, Outstanding - 31,653,262 (2012) shares and 30,212,453 (2011) 39,567,000       37,765,000       39,567,000 37,765,000 37,341,000  
Common Stock, authorized (in shares) 60,000,000       60,000,000       60,000,000 60,000,000    
Common Stock, outstanding (in shares) 31,653,262       30,212,453       31,653,262 30,212,453 29,872,825 29,796,232
Premium on Common Stock 345,807,000       273,303,000       345,807,000 273,303,000    
Treasury Stock (at par) (182,000)       (193,000)       (182,000) (193,000)    
Accumulated Other Comprehensive Loss (31,105,000)       (28,438,000)       (31,105,000) (28,438,000)    
Retained Earnings 382,127,000       341,677,000       382,127,000 341,677,000    
Total Equity 736,214,000       624,114,000       736,214,000 624,114,000    
Long-Term Debt 626,400,000 [2]       426,400,000 [2]       626,400,000 [2] 426,400,000 [2]    
Current Liabilities:                        
Notes Payable - Banks 338,900,000       321,400,000       338,900,000 321,400,000    
Accounts Payable 193,331,000       153,666,000       193,331,000 153,666,000    
Other Current Liabilities 11,127,000       10,498,000       11,127,000 10,498,000    
Total Current Liabilities 651,844,000       587,971,000       651,844,000 587,971,000    
Other Noncurrent Liabilities 19,222,000       14,710,000       19,222,000 14,710,000    
Total Capitalization and Liabilities 2,631,440,000       2,247,510,000       2,631,440,000 2,247,510,000    
SOUTH JERSEY INDUSTRIES, INC. [Member]
                       
Income Statement [Abstract]                        
Operating Revenues                 15,449,000 13,117,000 11,306,000  
Operating Expenses:                        
Operations                 13,869,000 12,390,000 10,091,000  
Depreciation                 183,000 160,000 143,000  
Energy and Other Taxes                 419,000 611,000 269,000  
Total Operating Expenses                 14,471,000 13,161,000 10,503,000  
Operating Income (Loss)                 978,000 (44,000) 803,000  
Other Income:                        
Equity in Earnings of Subsidiaries                 92,776,000 89,859,000 67,285,000  
Other                 3,270,000 2,688,000 333,000  
Total Other Income                 96,046,000 92,547,000 67,618,000  
Interest Charges                 4,219,000 2,648,000 1,093,000  
Income Taxes                 29,000 (4,000) 43,000  
Income from Continuing Operations                 92,776,000 89,859,000 67,285,000  
Equity in Undistributed Earnings of Discontinued Subsidiaries                 (1,168,000) (568,000) (633,000)  
Net Income                 91,608,000 89,291,000 66,652,000  
Comprehensive Income (Loss), Net of Tax, Attributable to Parent [Abstract]                        
Net Income                 91,608,000 89,291,000 66,652,000  
Other Comprehensive Loss, Net of Tax:                        
Postretirement Liability Adjustment                 (1,842,000) [3] (5,667,000) [3] (3,302,000) [3]  
Unrealized Gain (Loss) on Available-for-Sale Securities                 500,000 [3] (360,000) [3] 339,000 [3]  
Unrealized (Loss) Gain on Derivatives - Other                 (1,325,000) [3] (599,000) [3] 620,000 [3]  
Other Comprehensive Income (Loss) - Net of Tax                 (2,667,000) [3] (6,626,000) [3] (2,343,000) [3]  
Comprehensive Income Attributable to South Jersey Industries, Inc. Shareholders                 88,941,000 82,665,000 64,309,000  
Combined statutory tax rate                 41.00% 41.00%    
Retained Earnings [Roll Forward]                        
Retained Earnings - Beginning       341,677,000       297,473,000 341,677,000 297,473,000 271,505,000  
Net Income                 91,608,000 89,291,000 66,652,000  
Retained Earnings (Accumulated Deficit) After Net Income Before Dividends Declared 433,285,000       386,764,000       433,285,000 386,764,000 338,157,000  
Dividends Declared - Common Stock                 (51,158,000) (45,087,000) (40,684,000)  
Retained Earnings - Ending 382,127,000       341,677,000       382,127,000 341,677,000 297,473,000  
Statement of Cash Flows [Abstract]                        
CASH PROVIDED BY OPERATING ACTIVITIES                 1,840,000 14,179,000 46,965,000  
CASH FLOWS FROM INVESTING ACTIVITIES:                        
Net (Advances to) Repayment from Associated Companies                 (174,593,000) 22,957,000 (107,799,000)  
Capital Expenditures                 (454,000) (299,000) (163,000)  
Proceeds from Sale of Property, Plant & Equipment                 29,000 0 0  
Purchase of Company Owned Life Insurance                 (4,547,000) (4,628,000) (4,354,000)  
Net Cash Provided by (Used In) Investing Activities                 (179,565,000) 18,030,000 (112,316,000)  
CASH FLOWS FROM FINANCING ACTIVITIES:                        
Proceeds from Issuance of Long Term Debt                 115,000,000 0 0  
Payments for Issuance of Long term Debt                 (665,000) 0 0  
Net Borrowing from Lines of Credits                 42,000,000 3,013,000 104,587,000  
Dividends on Common Stock                 (50,942,000) (44,975,000) (40,478,000)  
Proceeds from Sale of Common Stock                 70,241,000 13,436,000 0  
Net Cash Provided by (Used in) Financing Activities                 175,634,000 (28,526,000) 64,109,000  
Net (Decrease) Increase in Cash and Cash Equivalents                 (2,091,000) 3,683,000 (1,242,000)  
Cash and Cash Equivalents at Beginning of Period       4,060,000       377,000 4,060,000 377,000 1,619,000  
Cash and Cash Equivalents at End of Period 1,969,000       4,060,000       1,969,000 4,060,000 377,000  
Cash Dividends Paid to Parent Company                   12,700,000 45,900,000  
Property Plant and Equipment:                        
Nonutility Property, Plant and Equipment, at cost 1,165,000       894,000       1,165,000 894,000    
Accumulated Depreciation (510,000)       (508,000)       (510,000) (508,000)    
Property, Plant and Equipment - Net 655,000       386,000       655,000 386,000    
Investments:                        
Investments in Subsidiaries 770,127,000       680,304,000       770,127,000 680,304,000    
Available-for-Sale Securities 18,000       22,000       18,000 22,000    
Total Investments 770,145,000       680,326,000       770,145,000 680,326,000    
Current Assets:                        
Cash and Cash Equivalents 1,969,000       4,060,000       1,969,000 4,060,000 377,000  
Receivable from Associated Companies 289,635,000       115,113,000       289,635,000 115,113,000    
Accounts Receivable 16,000       30,000       16,000 30,000    
Other 3,401,000       3,094,000       3,401,000 3,094,000    
Total Current Assets 295,021,000       122,297,000       295,021,000 122,297,000    
Other Noncurrent Assets 29,624,000       24,006,000       29,624,000 24,006,000    
Total Assets 1,095,445,000       827,015,000       1,095,445,000 827,015,000    
Equity:                        
Common Stock SJI, Par Value $1.25, Authorized 60,000,000 shares, Outstanding - 31,653,262 (2012) shares and 30,212,453 (2011) 39,567,000       37,765,000       39,567,000 37,765,000    
Common Stock, authorized (in shares) 60,000,000       60,000,000       60,000,000 60,000,000    
Common Stock, outstanding (in shares) 31,653,262       30,212,453       31,653,262 30,212,453    
Premium on Common Stock 345,807,000       273,303,000       345,807,000 273,303,000    
Treasury Stock (at par) (182,000)       (193,000)       (182,000) (193,000)    
Accumulated Other Comprehensive Loss (31,105,000)       (28,438,000)       (31,105,000) (28,438,000)    
Retained Earnings 382,127,000       341,677,000       382,127,000 341,677,000 297,473,000  
Total Equity 736,214,000       624,114,000       736,214,000 624,114,000    
Long-Term Debt 115,000,000       0       115,000,000 0    
Current Liabilities:                        
Notes Payable - Banks 236,800,000       194,800,000       236,800,000 194,800,000    
Payable to Associated Companies 172,000       244,000       172,000 244,000    
Accounts Payable 510,000       695,000       510,000 695,000    
Other Current Liabilities 1,923,000       1,794,000       1,923,000 1,794,000    
Total Current Liabilities 239,405,000       197,533,000       239,405,000 197,533,000    
Other Noncurrent Liabilities 4,826,000       5,368,000       4,826,000 5,368,000    
Total Capitalization and Liabilities $ 1,095,445,000       $ 827,015,000       $ 1,095,445,000 $ 827,015,000    
[1] Determined using a combined statutory tax rate of 41%.
[2] Long-term debt maturities and sinking funds requirements for the succeeding five years are as follows (in thousands): 2013, $25,000; 2014, $21,000; 2015, $74,909; 2016, $27,909; 2017, $31,909.
[3] Determined using a combined statutory tax rate of 41%