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Short-Term Debt and Credit Facilities (Tables)
3 Months Ended
Mar. 31, 2015
Short-term Debt [Abstract]  
Schedule of Line of Credit Facilities [Table Text Block]
The following table provides information regarding the Company's revolving credit agreements at March 31, 2015.
 
Aggregate
Amount
Weighted-Average
 
 
Entity
Commitment 
Outstanding (A)
Interest Rate
 
Maturity
 
(In millions)
 
 
 
OGE Energy (B)
$
750.0

$
109.9

0.54
%
(D)
December 13, 2018
OG&E (C)
400.0

1.9

0.95
%
(D)
December 13, 2018
Total
$
1,150.0

$
111.8

0.55
%
 
 
(A)
Includes direct borrowings under the revolving credit agreements, commercial paper borrowings and letters of credit at March 31, 2015.
(B)
This bank facility is available to back up OGE Energy's commercial paper borrowings and to provide revolving credit borrowings.  This bank facility can also be used as a letter of credit facility.  
(C)
This bank facility is available to back up OG&E's commercial paper borrowings and to provide revolving credit borrowings.  This bank facility can also be used as a letter of credit facility.   
(D)
Represents the weighted-average interest rate for the outstanding borrowings under the revolving credit agreements, commercial paper borrowings and letters of credit.