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Condensed Consolidated Statements of Earnings - PNMR - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2022
Mar. 31, 2021
Cost of Revenue [Abstract]    
Contracts with customers $ 384,493 $ 346,585
Alternative revenue programs (5,505) (909)
Other electric operating revenue 65,130 19,031
Total electric operating revenues 444,118 364,707
Operating Expenses:    
Administrative and general 55,861 59,465
Depreciation and amortization 75,764 69,874
Transmission and distribution costs 18,466 17,317
Taxes other than income taxes 23,979 22,593
Total operating expenses 376,050 321,541
Operating income 68,068 43,166
Other Income and Deductions:    
Interest income 4,292 3,559
Gains (losses) on investment securities (26,573) 968
Other income 4,330 4,252
Other (deductions) (2,241) (3,290)
Net other income and deductions (20,192) 5,489
Interest Charges 26,220 25,884
Earnings before Income Taxes 21,656 22,771
Income Taxes 2,438 1,566
Net Earnings 19,218 21,205
(Earnings) Attributable to Valencia Non-controlling Interest (3,095) (3,494)
Preferred Stock Dividend Requirements (132) (132)
Net Earnings Available for PNM Common Stock $ 15,991 $ 17,579
Income Loss From Continuing Operations Attributable To Parent Per Share [Abstract]    
Basic (dollars per share) $ 0.19 $ 0.20
Diluted (dollars per share) 0.19 0.20
Dividends Declared per Common Share (dollars per share) $ 0.3475 $ 0.3275
Energy    
Cost of Revenue [Abstract]    
Total electric operating revenues $ 444,118 $ 364,707
Operating Expenses:    
Energy costs 168,414 115,396
Energy Production    
Operating Expenses:    
Energy costs $ 33,566 $ 36,896