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Consolidated Balance Sheets - USD ($)
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Dec. 31, 2015
Current Assets:        
Cash and cash equivalents $ 2,122,000 $ 3,974,000 $ 5,522,000 $ 54,222,000
Accounts receivable, net of allowance for uncollectible accounts of $1,406 and $1,081 92,800,000 90,473,000    
Unbilled revenues 57,092,000 54,055,000    
Other receivables 11,369,000 17,582,000    
Current portion of Westmoreland Loan 0 3,576,000    
Materials, supplies, and fuel stock 71,834,000 66,502,000    
Regulatory assets 4,534,000 2,933,000    
Commodity derivative instruments 1,083,000 1,088,000    
Income taxes receivable 7,965,000 6,879,000    
Other current assets 53,725,000 47,358,000    
Total current assets 302,524,000 294,420,000    
Other Property and Investments:        
Long-term portion of Westmoreland Loan 0 53,064,000    
Investment securities 328,242,000 323,524,000    
Equity investment in NMRD 26,564,000 16,510,000    
Other investments 297,000 503,000    
Non-utility property 3,404,000 3,404,000    
Total other property and investments 358,507,000 397,005,000    
Utility Plant:        
Plant in service and held for future use 7,548,581,000 7,238,285,000    
Less accumulated depreciation and amortization 2,604,177,000 2,592,692,000    
Net plant in service and plant held for future use 4,944,404,000 4,645,593,000    
Construction work in progress 194,427,000 245,933,000    
Nuclear fuel, net of accumulated amortization of $42,511 and $43,524 95,798,000 88,701,000    
Net utility plant 5,234,629,000 4,980,227,000    
Deferred Charges and Other Assets:        
Regulatory assets 598,930,000 600,672,000    
Goodwill 278,297,000 278,297,000 278,297,000  
Commodity derivative instruments 2,511,000 3,556,000    
Other deferred charges 90,153,000 91,926,000    
Total deferred charges and other assets 969,891,000 974,451,000    
Total assets 6,865,551,000 6,646,103,000 6,471,080,000  
Current Liabilities:        
Short-term debt 235,900,000 305,400,000    
Current installments of long-term debt 0 256,895,000    
Accounts payable 112,170,000 121,383,000    
Customer deposits 10,695,000 11,028,000    
Accrued interest and taxes 65,156,000 62,357,000    
Regulatory liabilities 9,446,000 2,309,000    
Commodity derivative instruments 1,177,000 1,182,000    
Dividends declared 23,231,000 21,240,000    
Other current liabilities 54,678,000 53,850,000    
Total current liabilities 512,453,000 835,644,000    
Long-term Debt, net of Unamortized Premiums, Discounts, and Debt Issuance Costs 2,670,111,000 2,180,750,000    
Deferred Credits and Other Liabilities:        
Accumulated deferred income taxes 600,719,000 547,210,000    
Regulatory liabilities 891,428,000 933,578,000    
Asset retirement obligations 158,674,000 146,679,000    
Accrued pension liability and postretirement benefit cost 100,375,000 94,003,000    
Commodity derivative instruments 2,511,000 3,556,000    
Other deferred credits 165,157,000 131,706,000    
Total deferred credits and other liabilities 1,918,864,000 1,856,732,000    
Total liabilities 5,101,428,000 4,873,126,000    
Commitments and Contingencies (See Note 16)    
Cumulative Preferred Stock of Subsidiary without mandatory redemption requirements ($100 stated value; 10,000,000 shares authorized; issued and outstanding 115,293 shares) 11,529,000 11,529,000    
Company common stockholders’ equity:        
Common stock outstanding 1,153,113,000 1,157,665,000    
Accumulated other comprehensive income (loss), net of income taxes (108,684,000) (95,940,000)    
Retained earnings 643,953,000 633,528,000    
Total PNMR common stockholders’ equity 1,688,382,000 1,695,253,000    
Non-controlling interest in Valencia 64,212,000 66,195,000    
Total equity 1,752,594,000 1,761,448,000 1,744,872,000 1,726,220,000
Total liabilities and stockholders' equity 6,865,551,000 6,646,103,000    
Public Service Company of New Mexico        
Current Assets:        
Cash and cash equivalents 85,000 1,108,000 1,324,000 51,309,000
Accounts receivable, net of allowance for uncollectible accounts of $1,406 and $1,081 68,603,000 67,227,000    
Unbilled revenues 47,113,000 43,869,000    
Other receivables 10,650,000 14,541,000    
Affiliate receivables 15,871,000 9,486,000    
Materials, supplies, and fuel stock 67,097,000 60,859,000    
Regulatory assets 4,534,000 2,139,000    
Commodity derivative instruments 1,083,000 1,088,000    
Income taxes receivable 12,850,000 3,410,000    
Other current assets 42,433,000 39,904,000    
Total current assets 270,319,000 243,631,000    
Other Property and Investments:        
Investment securities 328,242,000 323,524,000    
Other investments 91,000 283,000    
Non-utility property 96,000 96,000    
Total other property and investments 328,429,000 323,903,000    
Utility Plant:        
Plant in service and held for future use 5,623,520,000 5,501,070,000    
Less accumulated depreciation and amortization 2,006,266,000 2,029,534,000    
Net plant in service and plant held for future use 3,617,254,000 3,471,536,000    
Construction work in progress 134,221,000 204,079,000    
Nuclear fuel, net of accumulated amortization of $42,511 and $43,524 95,798,000 88,701,000    
Net utility plant 3,847,273,000 3,764,316,000    
Deferred Charges and Other Assets:        
Regulatory assets 460,903,000 459,239,000    
Goodwill 51,632,000 51,632,000    
Commodity derivative instruments 2,511,000 3,556,000    
Other deferred charges 74,816,000 75,286,000    
Total deferred charges and other assets 589,862,000 589,713,000    
Total assets 5,035,883,000 4,921,563,000    
Current Liabilities:        
Short-term debt 42,400,000 39,800,000    
Short-term debt - affiliate 19,800,000.0 0    
Current installments of long-term debt 0 23,000    
Accounts payable 75,114,000 77,094,000    
Affiliate payables 164,000 22,875,000    
Customer deposits 10,695,000 11,028,000    
Accrued interest and taxes 35,767,000 33,945,000    
Regulatory liabilities 5,975,000 784,000    
Commodity derivative instruments 1,177,000 1,182,000    
Dividends declared 132,000 132,000    
Other current liabilities 31,799,000 31,633,000    
Total current liabilities 223,023,000 218,496,000    
Long-term Debt, net of Unamortized Premiums, Discounts, and Debt Issuance Costs 1,656,490,000 1,657,887,000    
Deferred Credits and Other Liabilities:        
Accumulated deferred income taxes 502,767,000 449,012,000    
Regulatory liabilities 713,971,000 754,441,000    
Asset retirement obligations 157,814,000 145,707,000    
Accrued pension liability and postretirement benefit cost 92,981,000 86,124,000    
Commodity derivative instruments 2,511,000 3,556,000    
Other deferred credits 213,226,000 106,442,000    
Total deferred credits and other liabilities 1,683,270,000 1,545,282,000    
Total liabilities 3,562,783,000 3,421,665,000    
Commitments and Contingencies (See Note 16)    
Cumulative Preferred Stock of Subsidiary without mandatory redemption requirements ($100 stated value; 10,000,000 shares authorized; issued and outstanding 115,293 shares) 11,529,000 11,529,000    
Company common stockholders’ equity:        
Common stock outstanding 1,264,918,000 1,264,918,000    
Accumulated other comprehensive income (loss), net of income taxes (110,422,000) (97,093,000)    
Retained earnings 242,863,000 254,349,000    
Total PNMR common stockholders’ equity 1,397,359,000 1,422,174,000    
Non-controlling interest in Valencia 64,212,000 66,195,000    
Total equity 1,461,571,000 1,488,369,000 1,466,792,000 1,389,340,000
Total liabilities and stockholders' equity 5,035,883,000 4,921,563,000    
Texas-New Mexico Power Company        
Current Assets:        
Cash and cash equivalents 0 1,700,000 671,000 1,000
Accounts receivable, net of allowance for uncollectible accounts of $1,406 and $1,081 24,196,000 23,246,000    
Unbilled revenues 9,979,000 10,186,000    
Other receivables 1,721,000 2,860,000    
Affiliate receivables 164,000 336,000    
Materials, supplies, and fuel stock 4,737,000 5,643,000    
Regulatory assets 0 794,000    
Other current assets 1,114,000 1,131,000    
Total current assets 41,911,000 45,896,000    
Other Property and Investments:        
Other investments 206,000 220,000    
Non-utility property 2,240,000 2,240,000    
Total other property and investments 2,446,000 2,460,000    
Utility Plant:        
Plant in service and held for future use 1,686,119,000 1,504,778,000    
Less accumulated depreciation and amortization 487,734,000 460,858,000    
Net plant in service and plant held for future use 1,198,385,000 1,043,920,000    
Construction work in progress 51,459,000 34,350,000    
Net utility plant 1,249,844,000 1,078,270,000    
Deferred Charges and Other Assets:        
Regulatory assets 138,027,000 141,433,000    
Goodwill 226,665,000 226,665,000    
Other deferred charges 6,284,000 6,046,000    
Total deferred charges and other assets 370,976,000 374,144,000    
Total assets 1,665,177,000 1,500,770,000    
Current Liabilities:        
Short-term debt 17,500,000 0    
Short-term debt - affiliate 100,000 0    
Accounts payable 23,804,000 29,812,000    
Affiliate payables 1,210,000 667,000    
Accrued interest and taxes 41,882,000 29,619,000    
Regulatory liabilities 3,471,000 1,525,000    
Other current liabilities 2,861,000 2,450,000    
Total current liabilities 90,828,000 64,073,000    
Long-term Debt, net of Unamortized Premiums, Discounts, and Debt Issuance Costs 575,398,000 480,620,000    
Deferred Credits and Other Liabilities:        
Accumulated deferred income taxes 136,238,000 126,415,000    
Regulatory liabilities 177,458,000 179,137,000    
Asset retirement obligations 860,000 793,000    
Accrued pension liability and postretirement benefit cost 7,394,000 7,879,000    
Other deferred credits 2,908,000 7,448,000    
Total deferred credits and other liabilities 324,858,000 321,672,000    
Total liabilities 991,084,000 866,365,000    
Commitments and Contingencies (See Note 16)    
Company common stockholders’ equity:        
Common stock outstanding 64,000 64,000    
Paid-in-capital 534,166,000 504,166,000    
Retained earnings 139,863,000 130,175,000    
Total PNMR common stockholders’ equity 674,093,000 634,405,000 593,235,000 $ 533,380,000
Total liabilities and stockholders' equity 1,665,177,000 1,500,770,000    
Public Service Company of New Mexico        
Deferred Charges and Other Assets:        
Goodwill 51,632,000 51,632,000 51,632,000  
Total assets 5,035,883,000 4,921,563,000 $ 4,867,546,000  
Current Liabilities:        
Short-term debt - affiliate $ 19,800,000 $ 0