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10-Q Filing

MIDDLESEX WATER CO CIK: 66004 Q2 2013
Filing Information
Form Type 10-Q
Accession Number 0000914317-13-001000
Period End Date 20130630
Filing Date 20130802
Fiscal Year 2013
Fiscal Period Q2
XBRL Instance msex-20130630.xml
Filing Contents
Balance Sheet 94 line items
Line Item Tag Value Unit Period
Water Production PublicUtilitiesPropertyPlantAndEquipmentGenerationOrProcessing $129.84M USD Point-in-time
Water Production PublicUtilitiesPropertyPlantAndEquipmentGenerationOrProcessing $130.50M USD Point-in-time
Transmission and Distribution PublicUtilitiesPropertyPlantAndEquipmentTransmissionAndDistribution $346.97M USD Point-in-time
Transmission and Distribution PublicUtilitiesPropertyPlantAndEquipmentTransmissionAndDistribution $343.07M USD Point-in-time
General PublicUtilitiesPropertyPlantAndEquipmentOtherPropertyPlantAndEquipment $55.43M USD Point-in-time
General PublicUtilitiesPropertyPlantAndEquipmentOtherPropertyPlantAndEquipment $54.83M USD Point-in-time
Construction Work in Progress PublicUtilitiesPropertyPlantAndEquipmentConstructionWorkInProgress $12.78M USD Point-in-time
Construction Work in Progress PublicUtilitiesPropertyPlantAndEquipmentConstructionWorkInProgress $7.83M USD Point-in-time
TOTAL PublicUtilitiesPropertyPlantAndEquipmentPlantInService $535.58M USD Point-in-time
TOTAL PublicUtilitiesPropertyPlantAndEquipmentPlantInService $545.69M USD Point-in-time
Less Accumulated Depreciation PublicUtilitiesPropertyPlantAndEquipmentAccumulatedDepreciation $104.88M USD Point-in-time
Less Accumulated Depreciation PublicUtilitiesPropertyPlantAndEquipmentAccumulatedDepreciation $100.36M USD Point-in-time
UTILITY PLANT - NET PublicUtilitiesPropertyPlantAndEquipmentNet $440.81M USD Point-in-time
UTILITY PLANT - NET PublicUtilitiesPropertyPlantAndEquipmentNet $435.22M USD Point-in-time
Cash and Cash Equivalents CashAndCashEquivalentsAtCarryingValue $3.02M USD Point-in-time
Cash and Cash Equivalents CashAndCashEquivalentsAtCarryingValue $2.99M USD Point-in-time
Cash and Cash Equivalents CashAndCashEquivalentsAtCarryingValue $2.73M USD Point-in-time
Cash and Cash Equivalents CashAndCashEquivalentsAtCarryingValue $3.11M USD Point-in-time
Accounts Receivable, net AccountsReceivableNetCurrent $11.56M USD Point-in-time
Accounts Receivable, net AccountsReceivableNetCurrent $12.45M USD Point-in-time
Unbilled Revenues UnbilledRevenues $5.48M USD Point-in-time
Unbilled Revenues UnbilledRevenues $6.73M USD Point-in-time
Materials and Supplies (at average cost) PublicUtilitiesInventory $2.10M USD Point-in-time
Materials and Supplies (at average cost) PublicUtilitiesInventory $1.40M USD Point-in-time
Prepayments PrepaidExpenseCurrent $2.25M USD Point-in-time
Prepayments PrepaidExpenseCurrent $2.73M USD Point-in-time
TOTAL CURRENT ASSETS AssetsCurrent $26.12M USD Point-in-time
TOTAL CURRENT ASSETS AssetsCurrent $24.61M USD Point-in-time
Unamortized Debt Expense UnamortizedDebtIssuanceExpense $3.61M USD Point-in-time
Unamortized Debt Expense UnamortizedDebtIssuanceExpense $3.60M USD Point-in-time
Preliminary Survey and Investigation Charges PreliminarySurveyAndInvestigationCharges $5.12M USD Point-in-time
Preliminary Survey and Investigation Charges PreliminarySurveyAndInvestigationCharges $5.02M USD Point-in-time
Regulatory Assets RegulatoryAssetsNoncurrent $72.83M USD Point-in-time
Regulatory Assets RegulatoryAssetsNoncurrent $59.45M USD Point-in-time
Operations Contracts, Developer and Other Receivables OperationsAndDeveloperContractsFeesReceivable $598.00K USD Point-in-time
Operations Contracts, Developer and Other Receivables OperationsAndDeveloperContractsFeesReceivable $992.00K USD Point-in-time
Restricted Cash RestrictedCashAndCashEquivalentsNoncurrent $9.02M USD Point-in-time
Restricted Cash RestrictedCashAndCashEquivalentsNoncurrent $5.36M USD Point-in-time
Non-utility Assets - Net NonUtilityAssetsNet $11.08M USD Point-in-time
Non-utility Assets - Net NonUtilityAssetsNet $9.88M USD Point-in-time
Other OtherAssetsNoncurrent $390.00K USD Point-in-time
Other OtherAssetsNoncurrent $448.00K USD Point-in-time
TOTAL DEFERRED CHARGES AND OTHER ASSETS AssetsNoncurrent $85.50M USD Point-in-time
TOTAL DEFERRED CHARGES AND OTHER ASSETS AssetsNoncurrent $101.89M USD Point-in-time
TOTAL ASSETS Assets $561.73M USD Point-in-time
TOTAL ASSETS Assets $552.42M USD Point-in-time
Common Stock, No Par Value CommonStockValue $144.72M USD Point-in-time
Common Stock, No Par Value CommonStockValue $143.57M USD Point-in-time
Retained Earnings RetainedEarningsAccumulatedDeficit $38.06M USD Point-in-time
Retained Earnings RetainedEarningsAccumulatedDeficit $39.69M USD Point-in-time
TOTAL COMMON EQUITY TotalCommonEquity $181.63M USD Point-in-time
TOTAL COMMON EQUITY TotalCommonEquity $184.41M USD Point-in-time
Preferred Stock PrefStockVal $3.35M USD Point-in-time
Preferred Stock PrefStockVal $3.35M USD Point-in-time
Long-term Debt LongTermDebtNoncurrent $133.50M USD Point-in-time
Long-term Debt LongTermDebtNoncurrent $131.47M USD Point-in-time
TOTAL CAPITALIZATION StockholdersEquityIncludingPortionAttributableToNoncontrollingInterest $316.45M USD Point-in-time
TOTAL CAPITALIZATION StockholdersEquityIncludingPortionAttributableToNoncontrollingInterest $321.27M USD Point-in-time
Current Portion of Long-term Debt LongTermDebtCurrent $5.29M USD Point-in-time
Current Portion of Long-term Debt LongTermDebtCurrent $11.13M USD Point-in-time
Notes Payable ShortTermBorrowings $27.95M USD Point-in-time
Notes Payable ShortTermBorrowings $27.95M USD Point-in-time
Accounts Payable AccountsPayableCurrent $3.81M USD Point-in-time
Accounts Payable AccountsPayableCurrent $5.13M USD Point-in-time
Accrued Taxes AccruedIncomeTaxesCurrent $9.27M USD Point-in-time
Accrued Taxes AccruedIncomeTaxesCurrent $9.80M USD Point-in-time
Accrued Interest AccruedInterest $955.00K USD Point-in-time
Accrued Interest AccruedInterest $1.14M USD Point-in-time
Unearned Revenues and Advanced Service Fees DeferredRevenueCurrent $756.00K USD Point-in-time
Unearned Revenues and Advanced Service Fees DeferredRevenueCurrent $759.00K USD Point-in-time
Other OtherLiabilitiesCurrent $2.07M USD Point-in-time
Other OtherLiabilitiesCurrent $1.95M USD Point-in-time
TOTAL CURRENT LIABILITIES LiabilitiesCurrent $52.02M USD Point-in-time
TOTAL CURRENT LIABILITIES LiabilitiesCurrent $55.93M USD Point-in-time
COMMITMENTS AND CONTINGENT LIABILITIES (Note 7) CommitmentsAndContingencies - USD Point-in-time
COMMITMENTS AND CONTINGENT LIABILITIES (Note 7) CommitmentsAndContingencies - USD Point-in-time
Customer Advances for Construction CustomerAdvancesForConstruction $21.94M USD Point-in-time
Customer Advances for Construction CustomerAdvancesForConstruction $21.99M USD Point-in-time
Accumulated Deferred Investment Tax Credits AccumulatedDeferredInvestmentTaxCredit $1.07M USD Point-in-time
Accumulated Deferred Investment Tax Credits AccumulatedDeferredInvestmentTaxCredit $1.03M USD Point-in-time
Accumulated Deferred Income Taxes DeferredTaxLiabilitiesNoncurrent $41.78M USD Point-in-time
Accumulated Deferred Income Taxes DeferredTaxLiabilitiesNoncurrent $40.92M USD Point-in-time
Employee Benefit Plans PensionAndOtherPostretirementDefinedBenefitPlansLiabilitiesNoncurrent $44.29M USD Point-in-time
Employee Benefit Plans PensionAndOtherPostretirementDefinedBenefitPlansLiabilitiesNoncurrent $54.77M USD Point-in-time
Regulatory Liability - Cost of Utility Plant Removal RegulatoryLiabilityCostOfUtilityPlantRemoval $9.23M USD Point-in-time
Regulatory Liability - Cost of Utility Plant Removal RegulatoryLiabilityCostOfUtilityPlantRemoval $8.81M USD Point-in-time
Other OtherLiabilitiesNoncurrent $991.00K USD Point-in-time
Other OtherLiabilitiesNoncurrent $973.00K USD Point-in-time
TOTAL DEFERRED CREDITS AND OTHER LIABILITIES LiabilitiesNoncurrent $129.39M USD Point-in-time
TOTAL DEFERRED CREDITS AND OTHER LIABILITIES LiabilitiesNoncurrent $118.40M USD Point-in-time
CONTRIBUTIONS IN AID OF CONSTRUCTION ContributionsInAidOfConstruction $59.96M USD Point-in-time
CONTRIBUTIONS IN AID OF CONSTRUCTION ContributionsInAidOfConstruction $60.74M USD Point-in-time
TOTAL CAPITALIZATION AND LIABILITIES LiabilitiesAndStockholdersEquity $561.73M USD Point-in-time
TOTAL CAPITALIZATION AND LIABILITIES LiabilitiesAndStockholdersEquity $552.42M USD Point-in-time
Income Statement 84 line items
Line Item Tag Value Unit Period
Operating Revenues RegulatedAndUnregulatedOperatingRevenue $56.14M USD 2 Qtrs
Operating Revenues RegulatedAndUnregulatedOperatingRevenue $27.40M USD 1 Quarter
Operating Revenues RegulatedAndUnregulatedOperatingRevenue $50.95M USD 2 Qtrs
Operating Revenues RegulatedAndUnregulatedOperatingRevenue $29.10M USD 1 Quarter
Operations and Maintenance OperationsAndMaintenance $30.58M USD 2 Qtrs
Operations and Maintenance OperationsAndMaintenance $29.14M USD 2 Qtrs
Operations and Maintenance OperationsAndMaintenance $14.77M USD 1 Quarter
Operations and Maintenance OperationsAndMaintenance $15.15M USD 1 Quarter
Depreciation CostOfGoodsSoldDepreciationAndAmortization $5.43M USD 2 Qtrs
Depreciation CostOfGoodsSoldDepreciationAndAmortization $5.13M USD 2 Qtrs
Depreciation CostOfGoodsSoldDepreciationAndAmortization $2.58M USD 1 Quarter
Depreciation CostOfGoodsSoldDepreciationAndAmortization $2.73M USD 1 Quarter
Other Taxes OtherTaxes $2.84M USD 1 Quarter
Other Taxes OtherTaxes $6.09M USD 2 Qtrs
Other Taxes OtherTaxes $3.06M USD 1 Quarter
Other Taxes OtherTaxes $5.59M USD 2 Qtrs
Total Operating Expenses OperatingExpenses $20.93M USD 1 Quarter
Total Operating Expenses OperatingExpenses $39.86M USD 2 Qtrs
Total Operating Expenses OperatingExpenses $42.10M USD 2 Qtrs
Total Operating Expenses OperatingExpenses $20.19M USD 1 Quarter
Operating Income OperatingIncomeLoss $11.09M USD 2 Qtrs
Operating Income OperatingIncomeLoss $14.04M USD 2 Qtrs
Operating Income OperatingIncomeLoss $8.17M USD 1 Quarter
Operating Income OperatingIncomeLoss $7.21M USD 1 Quarter
Allowance for Funds Used During Construction PublicUtilitiesAllowanceForFundsUsedDuringConstructionAdditions $127.00K USD 2 Qtrs
Allowance for Funds Used During Construction PublicUtilitiesAllowanceForFundsUsedDuringConstructionAdditions $137.00K USD 1 Quarter
Allowance for Funds Used During Construction PublicUtilitiesAllowanceForFundsUsedDuringConstructionAdditions $273.00K USD 2 Qtrs
Allowance for Funds Used During Construction PublicUtilitiesAllowanceForFundsUsedDuringConstructionAdditions $89.00K USD 1 Quarter
Other Income OtherIncome - USD 1 Quarter
Other Income OtherIncome $97.00K USD 2 Qtrs
Other Income OtherIncome $317.00K USD 2 Qtrs
Other Income OtherIncome $125.00K USD 1 Quarter
Other Expense OtherExpenses $11.00K USD 1 Quarter
Other Expense OtherExpenses $151.00K USD 2 Qtrs
Other Expense OtherExpenses $21.00K USD 2 Qtrs
Other Expense OtherExpenses $11.00K USD 1 Quarter
Total Other Income, net NonoperatingIncomeExpense $203.00K USD 2 Qtrs
Total Other Income, net NonoperatingIncomeExpense $251.00K USD 1 Quarter
Total Other Income, net NonoperatingIncomeExpense $439.00K USD 2 Qtrs
Total Other Income, net NonoperatingIncomeExpense $78.00K USD 1 Quarter
Interest Charges InterestExpense $1.54M USD 1 Quarter
Interest Charges InterestExpense $2.69M USD 2 Qtrs
Interest Charges InterestExpense $3.13M USD 2 Qtrs
Interest Charges InterestExpense $1.78M USD 1 Quarter
Income before Income Taxes IncomeLossFromContinuingOperationsBeforeIncomeTaxesMinorityInterestAndIncomeLossFromEquityMethodInvestments $5.68M USD 1 Quarter
Income before Income Taxes IncomeLossFromContinuingOperationsBeforeIncomeTaxesMinorityInterestAndIncomeLossFromEquityMethodInvestments $8.39M USD 2 Qtrs
Income before Income Taxes IncomeLossFromContinuingOperationsBeforeIncomeTaxesMinorityInterestAndIncomeLossFromEquityMethodInvestments $6.71M USD 1 Quarter
Income before Income Taxes IncomeLossFromContinuingOperationsBeforeIncomeTaxesMinorityInterestAndIncomeLossFromEquityMethodInvestments $11.55M USD 2 Qtrs
Income Taxes IncomeTaxExpenseBenefit $1.96M USD 1 Quarter
Income Taxes IncomeTaxExpenseBenefit $2.86M USD 2 Qtrs
Income Taxes IncomeTaxExpenseBenefit $3.89M USD 2 Qtrs
Income Taxes IncomeTaxExpenseBenefit $2.23M USD 1 Quarter
Net Income ProfitLoss $3.73M USD 1 Quarter
Net Income ProfitLoss $5.53M USD 2 Qtrs
Net Income ProfitLoss $4.48M USD 1 Quarter
Net Income ProfitLoss $7.66M USD 2 Qtrs
Preferred Stock Dividend Requirements PreferredStockDividendsIncomeStatementImpact $103.00K USD 2 Qtrs
Preferred Stock Dividend Requirements PreferredStockDividendsIncomeStatementImpact $51.00K USD 1 Quarter
Preferred Stock Dividend Requirements PreferredStockDividendsIncomeStatementImpact $103.00K USD 2 Qtrs
Preferred Stock Dividend Requirements PreferredStockDividendsIncomeStatementImpact $51.00K USD 1 Quarter
Earnings Applicable to Common Stock NetIncomeLossAvailableToCommonStockholdersBasic $3.67M USD 1 Quarter
Earnings Applicable to Common Stock NetIncomeLossAvailableToCommonStockholdersBasic $4.43M USD 1 Quarter
Earnings Applicable to Common Stock NetIncomeLossAvailableToCommonStockholdersBasic $5.43M USD 2 Qtrs
Earnings Applicable to Common Stock NetIncomeLossAvailableToCommonStockholdersBasic $7.55M USD 2 Qtrs
Basic EarningsPerShareBasic $0.28 USD 1 Quarter
Basic EarningsPerShareBasic $0.48 USD 2 Qtrs
Basic EarningsPerShareBasic $0.23 USD 1 Quarter
Basic EarningsPerShareBasic $0.35 USD 2 Qtrs
Diluted EarningsPerShareDiluted $0.35 USD 2 Qtrs
Diluted EarningsPerShareDiluted $0.28 USD 1 Quarter
Diluted EarningsPerShareDiluted $0.23 USD 1 Quarter
Diluted EarningsPerShareDiluted $0.47 USD 2 Qtrs
Basic WeightedAverageNumberOfSharesOutstandingBasic 15.70M shares 2 Qtrs
Basic WeightedAverageNumberOfSharesOutstandingBasic 15.83M shares 1 Quarter
Basic WeightedAverageNumberOfSharesOutstandingBasic 15.82M shares 2 Qtrs
Basic WeightedAverageNumberOfSharesOutstandingBasic 15.72M shares 1 Quarter
Diluted WeightedAverageNumberOfDilutedSharesOutstanding 15.98M shares 1 Quarter
Diluted WeightedAverageNumberOfDilutedSharesOutstanding 16.08M shares 2 Qtrs
Diluted WeightedAverageNumberOfDilutedSharesOutstanding 15.97M shares 2 Qtrs
Diluted WeightedAverageNumberOfDilutedSharesOutstanding 16.09M shares 1 Quarter
Cash Dividends Paid per Common Share CommonStockDividendsPerShareCashPaid $0.38 USD 2 Qtrs
Cash Dividends Paid per Common Share CommonStockDividendsPerShareCashPaid $0.37 USD 2 Qtrs
Cash Dividends Paid per Common Share CommonStockDividendsPerShareCashPaid $0.19 USD 1 Quarter
Cash Dividends Paid per Common Share CommonStockDividendsPerShareCashPaid $0.18 USD 1 Quarter
Cash Flow Statement 88 line items
Line Item Tag Value Unit Period
Allowance for Funds Used During Construction AllowanceForFundsUsedDuringConstruction $45.00K USD Point-in-time
Allowance for Funds Used During Construction AllowanceForFundsUsedDuringConstruction $103.00K USD Point-in-time
Net Income ProfitLoss $3.73M USD 1 Quarter
Net Income ProfitLoss $5.53M USD 2 Qtrs
Net Income ProfitLoss $4.48M USD 1 Quarter
Net Income ProfitLoss $7.66M USD 2 Qtrs
Depreciation and Amortization DepreciationDepletionAndAmortization $5.71M USD 2 Qtrs
Depreciation and Amortization DepreciationDepletionAndAmortization $5.49M USD 2 Qtrs
Provision for Deferred Income Taxes and Investment Tax Credits DeferredIncomeTaxExpenseBenefit $1.07M USD 2 Qtrs
Provision for Deferred Income Taxes and Investment Tax Credits DeferredIncomeTaxExpenseBenefit $990.00K USD 2 Qtrs
Equity Portion of Allowance for Funds Used During Construction (AFUDC) EquityPortionOfAllowanceForFundsUsedDuringConstructionAFUDC $-170.00K USD 2 Qtrs
Equity Portion of Allowance for Funds Used During Construction (AFUDC) EquityPortionOfAllowanceForFundsUsedDuringConstructionAFUDC $-82.00K USD 2 Qtrs
Cash Surrender Value of Life Insurance LifeInsuranceCorporateOrBankOwnedChangeInValue $112.00K USD 2 Qtrs
Cash Surrender Value of Life Insurance LifeInsuranceCorporateOrBankOwnedChangeInValue $90.00K USD 2 Qtrs
Stock Compensation Expense ShareBasedCompensation $372.00K USD 2 Qtrs
Stock Compensation Expense ShareBasedCompensation $269.00K USD 2 Qtrs
Accounts Receivable IncreaseDecreaseInAccountsReceivable $-4.20M USD 2 Qtrs
Accounts Receivable IncreaseDecreaseInAccountsReceivable $-1.28M USD 2 Qtrs
Unbilled Revenues IncreaseDecreaseInUnbilledReceivables $1.25M USD 2 Qtrs
Unbilled Revenues IncreaseDecreaseInUnbilledReceivables $1.35M USD 2 Qtrs
Materials & Supplies IncreaseDecreaseInRawMaterialsPackagingMaterialsAndSuppliesInventories $18.00K USD 2 Qtrs
Materials & Supplies IncreaseDecreaseInRawMaterialsPackagingMaterialsAndSuppliesInventories $701.00K USD 2 Qtrs
Prepayments IncreaseDecreaseInPrepaidExpense $620.00K USD 2 Qtrs
Prepayments IncreaseDecreaseInPrepaidExpense $479.00K USD 2 Qtrs
Accounts Payable IncreaseDecreaseInAccountsPayable $-909.00K USD 2 Qtrs
Accounts Payable IncreaseDecreaseInAccountsPayable $1.32M USD 2 Qtrs
Accrued Taxes IncreaseDecreaseInAccruedTaxesPayable $1.41M USD 2 Qtrs
Accrued Taxes IncreaseDecreaseInAccruedTaxesPayable $530.00K USD 2 Qtrs
Accrued Interest IncreaseDecreaseInInterestPayableNet $-6.00K USD 2 Qtrs
Accrued Interest IncreaseDecreaseInInterestPayableNet $189.00K USD 2 Qtrs
Employee Benefit Plans IncreaseDecreaseInPensionAndPostretirementObligations $767.00K USD 2 Qtrs
Employee Benefit Plans IncreaseDecreaseInPensionAndPostretirementObligations $1.85M USD 2 Qtrs
Unearned Revenue & Advanced Service Fees IncreaseDecreaseInDeferredRevenue $9.00K USD 2 Qtrs
Unearned Revenue & Advanced Service Fees IncreaseDecreaseInDeferredRevenue $3.00K USD 2 Qtrs
Other Assets and Liabilities IncreaseDecreaseInOtherOperatingCapitalNet $-14.00K USD 2 Qtrs
Other Assets and Liabilities IncreaseDecreaseInOtherOperatingCapitalNet $867.00K USD 2 Qtrs
NET CASH PROVIDED BY OPERATING ACTIVITIES NetCashProvidedByUsedInOperatingActivities $16.20M USD 2 Qtrs
NET CASH PROVIDED BY OPERATING ACTIVITIES NetCashProvidedByUsedInOperatingActivities $15.81M USD 2 Qtrs
Utility Plant Expenditures, Including AFUDC of $45 in 2013, $103 in 2012 PaymentsToAcquireWaterAndWasteWaterSystems $12.57M USD 2 Qtrs
Utility Plant Expenditures, Including AFUDC of $45 in 2013, $103 in 2012 PaymentsToAcquireWaterAndWasteWaterSystems $10.22M USD 2 Qtrs
Utility Plant Expenditures, Including AFUDC of $45 in 2013, $103 in 2012 PaymentsToAcquireWaterAndWasteWaterSystems $6.44M USD 1 Quarter
Utility Plant Expenditures, Including AFUDC of $45 in 2013, $103 in 2012 PaymentsToAcquireWaterAndWasteWaterSystems $5.72M USD 1 Quarter
Restricted Cash IncreaseDecreaseInRestrictedCash $2.63M USD 2 Qtrs
Restricted Cash IncreaseDecreaseInRestrictedCash $2.58M USD 2 Qtrs
Investment in Joint Venture PaymentsToAcquireInterestInJointVenture $1.00M USD 2 Qtrs
Investment in Joint Venture PaymentsToAcquireInterestInJointVenture $500.00K USD 2 Qtrs
NET CASH USED IN INVESTING ACTIVITIES NetCashProvidedByUsedInInvestingActivities $-15.65M USD 2 Qtrs
NET CASH USED IN INVESTING ACTIVITIES NetCashProvidedByUsedInInvestingActivities $-13.86M USD 2 Qtrs
Redemption of Long-term Debt RepaymentsOfLongTermDebt $1.59M USD 2 Qtrs
Redemption of Long-term Debt RepaymentsOfLongTermDebt $7.72M USD 2 Qtrs
Proceeds from Issuance of Long-term Debt ProceedsFromIssuanceOfLongTermDebt $3.99M USD 2 Qtrs
Proceeds from Issuance of Long-term Debt ProceedsFromIssuanceOfLongTermDebt $4.93M USD 2 Qtrs
Net Short-term Bank Borrowings ProceedsFromRepaymentsOfShortTermDebt - USD 2 Qtrs
Net Short-term Bank Borrowings ProceedsFromRepaymentsOfShortTermDebt $1.00M USD 2 Qtrs
Deferred Debt Issuance Expense DeferredDebtIssuanceExpense - USD 2 Qtrs
Deferred Debt Issuance Expense DeferredDebtIssuanceExpense $-22.00K USD 2 Qtrs
Restricted Cash ProceedsFromRepaymentsOfRestrictedCashFinancingActivities - USD 2 Qtrs
Restricted Cash ProceedsFromRepaymentsOfRestrictedCashFinancingActivities $6.07M USD 2 Qtrs
Proceeds from Issuance of Common Stock ProceedsFromIssuanceOfCommonStock $883.00K USD 2 Qtrs
Proceeds from Issuance of Common Stock ProceedsFromIssuanceOfCommonStock $788.00K USD 2 Qtrs
Payment of Common Dividends PaymentsOfDividendsCommonStock $5.81M USD 2 Qtrs
Payment of Common Dividends PaymentsOfDividendsCommonStock $5.93M USD 2 Qtrs
Payment of Preferred Dividends PaymentsOfDividends $103.00K USD 2 Qtrs
Payment of Preferred Dividends PaymentsOfDividends $103.00K USD 2 Qtrs
Construction Advances and Contributions-Net ProceedsFromContributionInAidOfConstruction $267.00K USD 2 Qtrs
Construction Advances and Contributions-Net ProceedsFromContributionInAidOfConstruction $445.00K USD 2 Qtrs
NET CASH USED IN FINANCING ACTIVITIES NetCashProvidedByUsedInFinancingActivities $-540.00K USD 2 Qtrs
NET CASH USED IN FINANCING ACTIVITIES NetCashProvidedByUsedInFinancingActivities $-2.37M USD 2 Qtrs
NET CHANGES IN CASH AND CASH EQUIVALENTS CashAndCashEquivalentsPeriodIncreaseDecrease $-379.00K USD 2 Qtrs
NET CHANGES IN CASH AND CASH EQUIVALENTS CashAndCashEquivalentsPeriodIncreaseDecrease $-33.00K USD 2 Qtrs
CASH AND CASH EQUIVALENTS AT BEGINNING OF PERIOD CashAndCashEquivalentsAtCarryingValue $3.02M USD Point-in-time
CASH AND CASH EQUIVALENTS AT BEGINNING OF PERIOD CashAndCashEquivalentsAtCarryingValue $2.99M USD Point-in-time
CASH AND CASH EQUIVALENTS AT BEGINNING OF PERIOD CashAndCashEquivalentsAtCarryingValue $2.73M USD Point-in-time
CASH AND CASH EQUIVALENTS AT BEGINNING OF PERIOD CashAndCashEquivalentsAtCarryingValue $3.11M USD Point-in-time
CASH AND CASH EQUIVALENTS AT END OF PERIOD CashAndCashEquivalentsAtCarryingValue $3.02M USD Point-in-time
CASH AND CASH EQUIVALENTS AT END OF PERIOD CashAndCashEquivalentsAtCarryingValue $2.99M USD Point-in-time
CASH AND CASH EQUIVALENTS AT END OF PERIOD CashAndCashEquivalentsAtCarryingValue $2.73M USD Point-in-time
CASH AND CASH EQUIVALENTS AT END OF PERIOD CashAndCashEquivalentsAtCarryingValue $3.11M USD Point-in-time
Utility Plant received as Construction Advances and Contributions UtilityPlantReceivedAsConstructionAdvancesAndContributions $291.00K USD 2 Qtrs
Utility Plant received as Construction Advances and Contributions UtilityPlantReceivedAsConstructionAdvancesAndContributions $453.00K USD 2 Qtrs
Long-term Debt Deobligation DeobligatedPrincipalPayments $64.00K USD 2 Qtrs
Long-term Debt Deobligation DeobligatedPrincipalPayments - USD 2 Qtrs
Interest InterestPaidNet $2.63M USD 2 Qtrs
Interest InterestPaidNet $3.21M USD 2 Qtrs
Interest Capitalized InterestPaidCapitalized $-103.00K USD 2 Qtrs
Interest Capitalized InterestPaidCapitalized $-45.00K USD 2 Qtrs
Income Taxes IncomeTaxesPaid $774.00K USD 2 Qtrs
Income Taxes IncomeTaxesPaid $3.19M USD 2 Qtrs
Stockholders Equity 108 line items
Line Item Tag Value Unit Period
Common Stock, Par Value CommonStockNoParValue - USD Point-in-time
Common Stock, Par Value CommonStockNoParValue - USD Point-in-time
Common Stock, No Par Value; Shares Authorized- 40,000; Shares Outstanding- 2013 - 15,844, 2012 - 15,795 CommonStockValue $144.72M USD Point-in-time
Common Stock, No Par Value; Shares Authorized- 40,000; Shares Outstanding- 2013 - 15,844, 2012 - 15,795 CommonStockValue $143.57M USD Point-in-time
Common Stock, Shares Authorized CommonStockSharesAuthorized 40.00M shares Point-in-time
Retained Earnings RetainedEarningsAccumulatedDeficit $38.06M USD Point-in-time
Retained Earnings RetainedEarningsAccumulatedDeficit $39.69M USD Point-in-time
Common Stock, Shares Authorized CommonStockSharesAuthorized 40.00M shares Point-in-time
TOTAL COMMON EQUITY TotalCommonEquity $181.63M USD Point-in-time
Common Stock, Shares Outstanding CommonStockSharesOutstanding 15.84M shares Point-in-time
TOTAL COMMON EQUITY TotalCommonEquity $184.41M USD Point-in-time
Common Stock, Shares Outstanding CommonStockSharesOutstanding 15.97M shares Point-in-time
TOTAL PREFERRED STOCK PreferredStockValueOutstanding $3.35M USD Point-in-time
TOTAL PREFERRED STOCK PreferredStockValueOutstanding $3.35M USD Point-in-time
Preferred Stock, Par Value PreferredStockNoParValue - USD Point-in-time
Preferred Stock, Par Value PreferredStockNoParValue - USD Point-in-time
8.05%, Amortizing Secured Note, due December 20, 2021 N805AmortizingSecuredNoteDueDecember $2.09M USD Point-in-time
8.05%, Amortizing Secured Note, due December 20, 2021 N805AmortizingSecuredNoteDueDecember $2.17M USD Point-in-time
6.25%, Amortizing Secured Note, due May 19, 2028 N625AmortizingSecuredNoteDueMay192028 $6.26M USD Point-in-time
6.25%, Amortizing Secured Note, due May 19, 2028 N625AmortizingSecuredNoteDueMay192028 $6.47M USD Point-in-time
6.44%, Amortizing Secured Note, due August 25, 2030 AmortizingSecuredNoteDueAugust252030 $4.95M USD Point-in-time
6.44%, Amortizing Secured Note, due August 25, 2030 AmortizingSecuredNoteDueAugust252030 $4.81M USD Point-in-time
6.46%, Amortizing Secured Note, due September 19, 2031 N646AmortizingSecuredNoteDueSeptember192031 $5.09M USD Point-in-time
6.46%, Amortizing Secured Note, due September 19, 2031 N646AmortizingSecuredNoteDueSeptember192031 $5.23M USD Point-in-time
4.22%, State Revolving Trust Note, due December 31, 2022 N403StateRevolvingTrustNoteDueDecember312022 $506.00K USD Point-in-time
4.22%, State Revolving Trust Note, due December 31, 2022 N403StateRevolvingTrustNoteDueDecember312022 $486.00K USD Point-in-time
3.30% to 3.60%, State Revolving Trust Note, due May 1, 2025 N330To360StateRevolvingTrustNoteDueMay12025 $3.41M USD Point-in-time
3.30% to 3.60%, State Revolving Trust Note, due May 1, 2025 N330To360StateRevolvingTrustNoteDueMay12025 $3.31M USD Point-in-time
3.49%, State Revolving Trust Note, due January 25, 2027 N349StateRevolvingTrustNoteDueJanuary252027 $602.00K USD Point-in-time
3.49%, State Revolving Trust Note, due January 25, 2027 N349StateRevolvingTrustNoteDueJanuary252027 $586.00K USD Point-in-time
4.03%, State Revolving Trust Note, due December 1, 2026 N422StateRevolvingTrustNoteDueDecember312022 $784.00K USD Point-in-time
4.03%, State Revolving Trust Note, due December 1, 2026 N422StateRevolvingTrustNoteDueDecember312022 $763.00K USD Point-in-time
4.00% to 5.00%, State Revolving Trust Note, due August 1, 2021 N400To500StateRevolvingTrustBondDueAugust12021 $388.00K USD Point-in-time
4.00% to 5.00%, State Revolving Trust Note, due August 1, 2021 N400To500StateRevolvingTrustBondDueAugust12021 $388.00K USD Point-in-time
0.00%, State Revolving Fund Note, due August 1, 2021 N000StateRevolvingFundBondDueAugust12021 $320.00K USD Point-in-time
0.00%, State Revolving Fund Note, due August 1, 2021 N000StateRevolvingFundBondDueAugust12021 $313.00K USD Point-in-time
3.64%, State Revolving Trust Note, due July 1, 2028 N364StateRevolvingTrustNoteDueJuly12028 $347.00K USD Point-in-time
3.64%, State Revolving Trust Note, due July 1, 2028 N364StateRevolvingTrustNoteDueJuly12028 $339.00K USD Point-in-time
3.64%, State Revolving Trust Note, due January 1, 2028 N364StateRevolvingTrustNoteDueJanuary12028 $116.00K USD Point-in-time
3.64%, State Revolving Trust Note, due January 1, 2028 N364StateRevolvingTrustNoteDueJanuary12028 $113.00K USD Point-in-time
3.45%, State Revolving Trust Note, due August 1, 2031 N345StateRevolvingTrustNoteDueAugust12031 $397.00K USD Point-in-time
3.45%, State Revolving Trust Note, due August 1, 2031 N345StateRevolvingTrustNoteDueAugust12031 $409.00K USD Point-in-time
6.59%, Amortizing Secured Note, due April 20, 2029 N659AmortizingSecuredNoteDueApril202029 $5.52M USD Point-in-time
6.59%, Amortizing Secured Note, due April 20, 2029 N659AmortizingSecuredNoteDueApril202029 $5.70M USD Point-in-time
7.05%, Amortizing Secured Note, due January 20, 2030 N705AmortizingSecuredNoteDueJanuary202030 $4.27M USD Point-in-time
7.05%, Amortizing Secured Note, due January 20, 2030 N705AmortizingSecuredNoteDueJanuary202030 $4.15M USD Point-in-time
5.69%, Amortizing Secured Note, due January 20, 2030 N569AmortizingSecuredNoteDueJanuary202030 $8.76M USD Point-in-time
5.69%, Amortizing Secured Note, due January 20, 2030 N569AmortizingSecuredNoteDueJanuary202030 $8.50M USD Point-in-time
3.75%, State Revolving Trust Note, due July 1, 2031 N375StateRevolvingTrustNoteDueJuly12031 $2.62M USD Point-in-time
3.75%, State Revolving Trust Note, due July 1, 2031 N375StateRevolvingTrustNoteDueJuly12031 $2.56M USD Point-in-time
3.75%, State Revolving Trust Note, due November 30, 2030 N375StateRevolvingTrustNoteDueNovember302030 $1.39M USD Point-in-time
3.75%, State Revolving Trust Note, due November 30, 2030 N375StateRevolvingTrustNoteDueNovember302030 $1.36M USD Point-in-time
0.00%, Series X, due September 1, 2018 N000SeriesXDueSeptember12018 $316.00K USD Point-in-time
0.00%, Series X, due September 1, 2018 N000SeriesXDueSeptember12018 $322.00K USD Point-in-time
4.25% to 4.63%, Series Y, due September 1, 2018 N425To463SeriesYDueSeptember12018 $355.00K USD Point-in-time
4.25% to 4.63%, Series Y, due September 1, 2018 N425To463SeriesYDueSeptember12018 $355.00K USD Point-in-time
0.00%, Series Z, due September 1, 2019 N000SeriesZDueSeptember12019 $766.00K USD Point-in-time
0.00%, Series Z, due September 1, 2019 N000SeriesZDueSeptember12019 $782.00K USD Point-in-time
5.25% to 5.75%, Series AA, due September 1, 2019 N525To575SeriesAADueSeptember12019 $955.00K USD Point-in-time
5.25% to 5.75%, Series AA, due September 1, 2019 N525To575SeriesAADueSeptember12019 $955.00K USD Point-in-time
0.00%, Series BB, due September 1, 2021 N400To500SeriesBBDueSeptember12021 $1.06M USD Point-in-time
0.00%, Series BB, due September 1, 2021 N400To500SeriesBBDueSeptember12021 $1.08M USD Point-in-time
4.00% to 5.00%, Series CC, due September 1, 2021 N400To500SeriesCCDueSeptember12021 $1.27M USD Point-in-time
4.00% to 5.00%, Series CC, due September 1, 2021 N400To500SeriesCCDueSeptember12021 $1.27M USD Point-in-time
5.10%, Series DD, due January 1, 2032 N510SeriesDDDueJanuary12032 - USD Point-in-time
5.10%, Series DD, due January 1, 2032 N510SeriesDDDueJanuary12032 $6.00M USD Point-in-time
0.00%, Series EE, due August 1, 2023 N000SeriesEEDueAugust12023 $4.39M USD Point-in-time
0.00%, Series EE, due August 1, 2023 N000SeriesEEDueAugust12023 $4.29M USD Point-in-time
3.00% to 5.50%, Series FF, due August 1, 2024 N300To550SeriesFFDueAugust12024 $5.75M USD Point-in-time
3.00% to 5.50%, Series FF, due August 1, 2024 N300To550SeriesFFDueAugust12024 $5.75M USD Point-in-time
0.00%, Series GG, due August 1, 2026 N000SeriesGGDueAugust12026 $1.24M USD Point-in-time
0.00%, Series GG, due August 1, 2026 N000SeriesGGDueAugust12026 $1.26M USD Point-in-time
4.00% to 5.00%, Series HH, due August 1, 2026 N400To500SeriesHHDueAugust12026 $1.56M USD Point-in-time
4.00% to 5.00%, Series HH, due August 1, 2026 N400To500SeriesHHDueAugust12026 $1.56M USD Point-in-time
0.00%, Series II, due August 1, 2024 N000SeriesIIDueAugust12024 $1.04M USD Point-in-time
0.00%, Series II, due August 1, 2024 N000SeriesIIDueAugust12024 $1.06M USD Point-in-time
3.40% to 5.00%, Series JJ, due August 1, 2027 N340To500SeriesJJDueAugust12027 $1.24M USD Point-in-time
3.40% to 5.00%, Series JJ, due August 1, 2027 N340To500SeriesJJDueAugust12027 $1.24M USD Point-in-time
0.00%, Series KK, due August 1, 2028 N000SeriesKKDueAugust12028 $1.41M USD Point-in-time
0.00%, Series KK, due August 1, 2028 N000SeriesKKDueAugust12028 $1.44M USD Point-in-time
5.00% to 5.50%, Series LL, due August 1, 2028 N500To550SeriesLLDueAugust12028 $1.57M USD Point-in-time
5.00% to 5.50%, Series LL, due August 1, 2028 N500To550SeriesLLDueAugust12028 $1.57M USD Point-in-time
0.00%, Series MM, due August 1, 2030 N000SeriesMMDueAugust12030 $1.70M USD Point-in-time
0.00%, Series MM, due August 1, 2030 N000SeriesMMDueAugust12030 $1.80M USD Point-in-time
3.00% to 4.375%, Series NN, due August 1, 2030 N300To4375SeriesNNDueAugust12030 $1.91M USD Point-in-time
3.00% to 4.375%, Series NN, due August 1, 2030 N300To4375SeriesNNDueAugust12030 $1.91M USD Point-in-time
0.00%, Series OO, due August 1, 2031 N000SeriesOODueAugust12031 $2.86M USD Point-in-time
0.00%, Series OO, due August 1, 2031 N000SeriesOODueAugust12031 $2.81M USD Point-in-time
2.00% to 5.00%, Series PP, due August 1, 2031 N200To500SeriesPPDueAugust12031 $915.00K USD Point-in-time
2.00% to 5.00%, Series PP, due August 1, 2031 N200To500SeriesPPDueAugust12031 $915.00K USD Point-in-time
5.00%, Series QQ, due October 1, 2023 SeriesQqDueOctober12023 $9.91M USD Point-in-time
5.00%, Series QQ, due October 1, 2023 SeriesQqDueOctober12023 $9.91M USD Point-in-time
3.80%, Series RR, due October 1, 2038 SeriesRrDueOctober12038 $22.50M USD Point-in-time
3.80%, Series RR, due October 1, 2038 SeriesRrDueOctober12038 $22.50M USD Point-in-time
4.25%, Series SS, due October 1, 2047 SeriesSsDueOctober12047 $23.00M USD Point-in-time
4.25%, Series SS, due October 1, 2047 SeriesSsDueOctober12047 $23.00M USD Point-in-time
0.00%, Series TT, due August 1, 2032 SeriesTtDueAugust12032 - USD Point-in-time
0.00%, Series TT, due August 1, 2032 SeriesTtDueAugust12032 $2.96M USD Point-in-time
3.00% to 3.25%, Series UU, due August 1, 2032 SeriesUuDueAugust2032 $1.01M USD Point-in-time
3.00% to 3.25%, Series UU, due August 1, 2032 SeriesUuDueAugust2032 - USD Point-in-time
SUBTOTAL LONG-TERM DEBT DebtLongtermAndShorttermCombinedAmount $140.36M USD Point-in-time
SUBTOTAL LONG-TERM DEBT DebtLongtermAndShorttermCombinedAmount $136.61M USD Point-in-time
Add: Premium on Long Term Debt AddPremiumOnLongTermDebt $-2.24M USD Point-in-time
Add: Premium on Long Term Debt AddPremiumOnLongTermDebt $-2.18M USD Point-in-time
Less: Current Portion of Long-term Debt LongTermDebtCurrent $5.29M USD Point-in-time
Less: Current Portion of Long-term Debt LongTermDebtCurrent $11.13M USD Point-in-time
TOTAL LONG-TERM DEBT LongTermDebt $131.47M USD Point-in-time
TOTAL LONG-TERM DEBT LongTermDebt $133.50M USD Point-in-time

Data is extracted from SEC EDGAR XBRL filings. Values shown are as reported in the filing.

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