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Schedule I - Condensed Financial Information of Parent Company (Statement of Cash flow) (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Cash Flows From Operating Activities:      
Net earnings (loss) $ 100,507 $ 105,547 $ 176,359
Depreciation and amortization 208,173 206,499 195,366
Deferred income tax expense 60,430 56,243 124,424
(Gain) on reacquired debt 3,253 0 9,209
Stock based compensation expense 5,320 3,585 6,556
Changes in certain assets and liabilities:      
Other current assets 8,577 (2,598) (21,979)
Other assets (12,801) (30,778) (15,835)
Accounts payable 4,484 14,020 20,969
Accrued interest and taxes 91,537 255 7,304
Other current liabilities (19,648) (19,905) 3,460
Other liabilities (61,262) (70,743) (6,735)
Net cash flows from operating activities 386,587 281,349 292,240
Cash Flows From Investing Activities:      
Utility plant additions (348,039) (308,909) (326,931)
Other, net 4,096 4,943 (17)
Net cash flows from investing activities (331,446) (285,895) 19,778
Cash Flows From Financing Activities:      
Short-term borrowings (repayments), net (9,500) (24,000) (139,300)
Repayment of long-term debt (29,468) (22,387) (110,752)
Purchase of preferred stock 0 0 (73,475)
Purchase of common stock 0 0 (125,683)
Proceeds from stock option exercise 4,618 11,684 5,622
Purchases to satisfy awards of common stock (13,807) (25,168) (10,104)
Dividends paid (51,508) (45,137) (45,656)
Net cash flows from financing activities (61,593) (1,560) (312,331)
Change in Cash and Cash Equivalents (6,452) (6,106) (313)
Cash and Cash Equivalents at Beginning of Year 8,985 15,091 15,404
Cash and Cash Equivalents at End of Year 2,533 8,985 15,091
Supplemental Cash Flow Disclosures:      
Interest paid 99,382 113,265 116,391
Income taxes paid (refunded), net (95,327) 5,302 (5,527)
PNM Resources [Member]
     
Cash Flows From Operating Activities:      
Net earnings (loss) 100,507 105,547 176,359
Depreciation and amortization 4,192 5,000 7,654
Deferred income tax expense (51,820) (46,632) (34,396)
Equity in (earnings) loss of subsidiaries (116,634) (117,900) (205,215)
(Gain) on reacquired debt 3,253 0 9,209
Stock based compensation expense 5,320 3,585 6,556
Changes in certain assets and liabilities:      
Other current assets 28,460 (43,638) 42,687
Other assets 46,558 34,096 59,975
Accounts payable 620 8 (1)
Accrued interest and taxes (9,266) (28,855) 27,348
Other current liabilities (146) 3,876 4,765
Other liabilities (27,756) (29,601) (12,854)
Net cash flows from operating activities (16,712) (114,514) 82,087
Cash Flows From Investing Activities:      
Utility plant additions (960) (7,524) 0
Investments in subsidiaries (13,800) 0 (43,000)
Investments in Optim Energy 0 0 0
Cash dividends from subsidiaries 158,772 61,406 285,757
Net cash flows from investing activities 144,012 53,882 242,757
Cash Flows From Financing Activities:      
Short-term borrowings (repayments), net (37,600) 120,900 (15,300)
Short-term borrowings (repayments) – affiliate, net 0 0 300
Repayment of long-term debt (29,468) (2,387) (60,391)
Purchase of preferred stock 0 0 (73,475)
Purchase of common stock 0 0 (125,683)
Proceeds from stock option exercise 4,618 11,684 5,622
Purchases to satisfy awards of common stock (13,807) (25,168) (10,104)
Excess tax (shortfall) from stock-based payment arrangements 0 0 0
Dividends paid (50,980) (44,609) (45,128)
Other, net 0 0 (747)
Net cash flows from financing activities (127,237) 60,420 (324,906)
Change in Cash and Cash Equivalents 63 (212) (62)
Cash and Cash Equivalents at Beginning of Year 29 241 303
Cash and Cash Equivalents at End of Year 92 29 241
Supplemental Cash Flow Disclosures:      
Interest paid 14,510 15,007 19,215
Income taxes paid (refunded), net $ 22,378 $ 1,501 $ 5,454