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Long-Term Debt - Additional Information (Detail) (USD $)
In Millions, unless otherwise specified
0 Months Ended 0 Months Ended 9 Months Ended 0 Months Ended
Sep. 30, 2014
Dec. 31, 2013
Jul. 16, 2014
New Mexico Gas Company 4.87 % Notes due 2021 [Member]
Feb. 08, 2011
New Mexico Gas Company 4.87 % Notes due 2021 [Member]
Sep. 30, 2014
Tampa Electric Company [Member]
Dec. 31, 2013
Tampa Electric Company [Member]
May 15, 2014
Tampa Electric Company [Member]
4.35% Notes [Member]
Sep. 30, 2014
Tampa Electric Company [Member]
4.35% Notes [Member]
Sep. 02, 2014
New Mexico Gas Intermediate [Member]
Series A Senior Unsecured Notes 2.71% Notes due 2019 [Member]
Sep. 02, 2014
New Mexico Gas Intermediate [Member]
Series B Senior Unsecured 3.64 % Notes due 2024 [Member]
Sep. 02, 2014
New Mexico Gas Company [Member]
Senior Unsecured 3.54 % Notes due 2026 [Member]
Sep. 02, 2014
New Mexico Gas Company [Member]
New Mexico Gas Company 4.87 % Notes due 2021 [Member]
Debt Instrument [Line Items]                        
Long-term debt, carrying amount $ 3,629.3 $ 2,921.1     $ 2,097.1 $ 1,880.8            
Estimated fair value 3,949.6 3,184.1     2,330.3 2,042.0            
Aggregate principal amount issued       200     300   50 150 70  
Interest at the initial term rate per annum             4.35% 4.35% 2.71% 3.64% 3.54% 4.87%
Debt instrument principal amount market price percentage             99.933%   100.00% 100.00% 100.00%  
Proceeds from notes net of issuance             $ 296.6   $ 49.3 $ 149.1 $ 69.3  
Redeemable principal amount percentage             100.00%   100.00%   100.00%  
Debt instrument, offering date     Jul. 16, 2014 Feb. 08, 2011     May 15, 2014   Sep. 02, 2014 Sep. 02, 2014 Sep. 02, 2014  
Debt instrument, start date of redemption             Nov. 15, 2043   Jul. 30, 2019 Jul. 30, 2024 Jul. 30, 2026  
Libor interest rate             15   50 50 50  
Debt instrument, maturity year             2044   2019 2024 2026 2021
Redeemable principal amount percentage             100.00%     100.00%    
Issuance of notes, maturity year       Feb. 08, 2021     Jan. 01, 2044          
Debt instrument, stated interest rate             4.35%          
Basis spread on federal funds rate             0.15%