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Commitments and Contingencies (Details) (USD $)
6 Months Ended 6 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2011
Physical gas and transportation contracts
Jun. 30, 2011
Coal and coal transportation contracts
Jun. 30, 2011
New construction
mW
Jun. 15, 2011
New construction
Missouri Public Service Commission (MPSC)
May 27, 2011
New construction
Missouri Public Service Commission (MPSC)
Sep. 28, 2010
New construction
Missouri Public Service Commission (MPSC)
Feb. 02, 2011
New construction
Arkansas Public Service Commission (APSC)
Aug. 19, 2010
New construction
Arkansas Public Service Commission (APSC)
Jun. 30, 2011
New construction
Oklahoma Corporation Commission (OCC)
Aug. 30, 2010
New construction
Oklahoma Corporation Commission (OCC)
Jun. 30, 2011
New construction
Kansas Corporation Commission (KCC)
Jun. 17, 2011
New construction
Kansas Corporation Commission (KCC)
May 04, 2010
New construction
Kansas Corporation Commission (KCC)
Jun. 30, 2011
Leases
Jun. 30, 2011
Leases
Plum Point Energy Station
Jun. 30, 2011
Plum Point Energy Station
mW
Jun. 30, 2011
Cloud County Windfarm
mW
Jun. 30, 2011
Elk River Windfarm
mW
Jun. 30, 2011
Southern Star Central Pipeline, Inc.
Dth
Jun. 30, 2011
Federal Energy Regulatory Commission (FERC)
GFR rate case
Jun. 30, 2010
Federal Energy Regulatory Commission (FERC)
GFR rate case
Commitments and Contingencies                                            
Percentage of ownership interest in Iatan generating facility (as a percent) 12.00%                                          
Number of On-system Wholesale Customers Granted Intervention                                           3
Accumulated provision - rate refunds $ 603,000                                       $ 1,200,000  
July 1, 2011 through December 31, 2011   24,000,000 21,200,000                                      
January 1, 2012 through December 31, 2013   56,900,000 57,000,000                                      
January 1, 2014 through December 31, 2015   29,400,000 36,900,000                                      
January 1, 2016 and beyond   25,800,000 15,900,000                                      
Agreement to purchase firm gas storage capacity (in Dths)                                       1,000,000    
Term of long-term contract agreement (in years)                                 30 year 20 year 20 year five years    
Amount of annual storage capacity reservation                                       1,100,000    
Amount of energy generated (in megawatts)                                 665 105 150      
Amount of energy capacity under option to purchase (in megawatts)                                 50          
Amount of long-term contract obligation                                 39,600,000          
Ownership interest in the Iatan 2 generating facility (as a percent)       12.00%                                    
Ownership interest in the Iatan 2 generating facility (in megawatts)       102                                    
Amount of total power capacity of Iatan 2 generating facility (in megawatts)       850                                    
Company's share of Iatan 2 generating facility construction costs (low end of the range)       237,000,000                                    
Company's expected share of Iatan 2 generating facility construction costs (high end of the range)       240,000,000                                    
Company's share of Iatan 2 generating facility construction costs incurred through the period       232,200,000                                    
Amount of allowance for funds used during construction (AFUDC)       19,100,000                                    
Current projections estimate of amount being spent during the remainder of 2011 for company's remaining share of expected expenditures for Iatan 2       7,800,000                                    
Requested amount of annual increase in electric base rate             36,500,000   3,200,000 600,000     1,500,000                  
Percentage of annual electric base rate increase requested (as a percent)             9.20%   27.30% 4.10%     6.39%                  
Regulatory amortization expense         14,500,000                                  
Annual amount of electric base rate increase approved                     2,600,000                      
Percentage of annual electric base rate increase approved (as a percent)                     27.67%                      
Approved amount of annual increase in electric base rate           18,700,000               2,800,000                
Approved percentage of annual increase in electric base rate (as a percent)           4.70%               12.40%                
Period over which deferred depreciation, operating and maintenance expenses will be recovered (in years)                       3                    
General rate increase amount as per the unanimous settlement               $ 2,100,000                            
Percentage of generate rate increase in electric base rate (as a percent)               19.00%                            
Number of unit trains under short-term operating leases                             2              
Number of gas segment offices under capital lease                             1              
Number of railcars under capital leases                               108