☑ | QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
For the quarterly period ended March 31, 2015 |
OR |
☐ | TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
For the transition period from __________to____________ |
PENNSYLVANIA
|
23-1242500
|
(State or other jurisdiction of incorporation or organization)
|
(I.R.S. Employer Identification No.)
|
|
|
130 EAST MARKET STREET, YORK, PENNSYLVANIA
|
17401
|
(Address of principal executive offices)
|
(Zip Code)
|
|
Large accelerated filer ☐
|
Accelerated filer ☑
|
|
|
Non-accelerated filer ☐
|
Small Reporting Company ☐
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|
Indicate the number of shares outstanding of each of the issuer's classes of common stock, as of the latest practicable date.
|
|
Common stock, No par value
|
12,858,271 Shares outstanding as of May 5, 2015
|
PART I
|
Financial Information
|
|
|
|
|
|
|
|
PART II
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Other Information
|
|
|
|
|
|
|
|
|
|
|
|
Mar. 31, 2015
|
Dec. 31, 2014
|
||||||
|
||||||||
ASSETS
|
||||||||
UTILITY PLANT, at original cost
|
$
|
319,397
|
$
|
316,525
|
||||
Plant acquisition adjustments
|
(3,585
|
)
|
(3,522
|
)
|
||||
Accumulated depreciation
|
(61,288
|
)
|
(59,809
|
)
|
||||
Net utility plant
|
254,524
|
253,194
|
||||||
|
||||||||
OTHER PHYSICAL PROPERTY, net of accumulated depreciation of $292 in 2015 and $286 in 2014
|
759
|
765
|
||||||
|
||||||||
CURRENT ASSETS:
|
||||||||
Cash and cash equivalents
|
468
|
1,488
|
||||||
Restricted cash
|
2
|
7
|
||||||
Accounts receivable, net of reserves of $352 in 2015 and $325 in 2014
|
4,021
|
3,991
|
||||||
Unbilled revenues
|
2,280
|
2,377
|
||||||
Recoverable income taxes | 939 | 957 | ||||||
Materials and supplies inventories, at cost
|
807
|
771
|
||||||
Prepaid expenses
|
910
|
584
|
||||||
Deferred income taxes
|
240
|
1,058
|
||||||
Total current assets
|
9,667
|
11,233
|
||||||
|
||||||||
OTHER LONG-TERM ASSETS:
|
||||||||
Deferred debt expense
|
2,542
|
2,573
|
||||||
Notes receivable
|
260
|
266
|
||||||
Deferred regulatory assets
|
32,839
|
32,614
|
||||||
Other assets
|
3,711
|
3,694
|
||||||
Total other long-term assets
|
39,352
|
39,147
|
||||||
|
||||||||
Total Assets
|
$
|
304,302
|
$
|
304,339
|
|
Mar. 31, 2015
|
Dec. 31, 2014
|
||||||
|
||||||||
STOCKHOLDERS' EQUITY AND LIABILITIES
|
||||||||
COMMON STOCKHOLDERS' EQUITY:
|
||||||||
Common stock, no par value, authorized 46,500,000 shares, issued and outstanding 12,855,704 shares in 2015 and 12,830,521 shares in 2014
|
$
|
78,133
|
$
|
77,556
|
||||
Retained earnings
|
27,616
|
27,007
|
||||||
Total common stockholders' equity
|
105,749
|
104,563
|
||||||
|
||||||||
PREFERRED STOCK, authorized 500,000 shares, no shares issued
|
-
|
-
|
||||||
|
||||||||
LONG-TERM DEBT, excluding current portion
|
84,831
|
84,842
|
||||||
|
||||||||
COMMITMENTS
|
-
|
-
|
||||||
|
||||||||
CURRENT LIABILITIES:
|
||||||||
Current portion of long-term debt
|
43
|
43
|
||||||
Accounts payable
|
1,519
|
1,589
|
||||||
Dividends payable
|
1,653
|
1,647
|
||||||
Accrued compensation and benefits
|
1,207
|
1,078
|
||||||
Accrued interest
|
1,127
|
1,027
|
||||||
Other accrued expenses
|
597
|
546
|
||||||
Total current liabilities
|
6,146
|
5,930
|
||||||
|
||||||||
DEFERRED CREDITS:
|
||||||||
Customers' advances for construction
|
10,696
|
10,712
|
||||||
Deferred income taxes
|
46,322
|
46,024
|
||||||
Deferred employee benefits
|
11,748
|
13,727
|
||||||
Other deferred credits
|
7,734
|
7,489
|
||||||
Total deferred credits
|
76,500
|
77,952
|
||||||
|
||||||||
Contributions in aid of construction
|
31,076
|
31,052
|
||||||
|
||||||||
Total Stockholders' Equity and Liabilities
|
$
|
304,302
|
$
|
304,339
|
|
Three Months
Ended March 31
|
|||||||
|
2015
|
2014
|
||||||
|
||||||||
OPERATING REVENUES:
|
||||||||
Residential
|
$
|
7,191
|
$
|
6,793
|
||||
Commercial and industrial
|
3,153
|
2,956
|
||||||
Other
|
865
|
822
|
||||||
|
11,209
|
10,571
|
||||||
|
||||||||
OPERATING EXPENSES:
|
||||||||
Operation and maintenance
|
1,963
|
1,879
|
||||||
Administrative and general
|
2,241
|
2,152
|
||||||
Depreciation and amortization
|
1,549
|
1,477
|
||||||
Taxes other than income taxes
|
322
|
305
|
||||||
|
6,075
|
5,813
|
||||||
|
||||||||
Operating income
|
5,134
|
4,758
|
||||||
|
||||||||
OTHER INCOME (EXPENSES):
|
||||||||
Interest on debt
|
(1,253
|
)
|
(1,308
|
)
|
||||
Allowance for funds used during construction
|
55
|
43
|
||||||
Other income (expenses), net
|
(172
|
)
|
(114
|
)
|
||||
|
(1,370
|
)
|
(1,379
|
)
|
||||
|
||||||||
Income before income taxes
|
3,764
|
3,379
|
||||||
|
||||||||
Income taxes
|
1,236
|
1,268
|
||||||
|
||||||||
Net Income
|
$
|
2,528
|
$
|
2,111
|
||||
|
||||||||
Basic Earnings Per Share
|
$
|
0.20
|
$
|
0.16
|
||||
|
||||||||
Cash Dividends Declared Per Share
|
$
|
0.1495
|
$
|
0.1431
|
|
Common
Stock
Shares
|
Common
Stock
Amount
|
Retained
Earnings
|
Total
|
||||||||||||
|
||||||||||||||||
Balance, December 31, 2014
|
12,830,521
|
$
|
77,556
|
$
|
27,007
|
$
|
104,563
|
|||||||||
Net income
|
-
|
-
|
2,528
|
2,528
|
||||||||||||
Dividends
|
-
|
-
|
(1,919
|
)
|
(1,919
|
)
|
||||||||||
Issuance of common stock under dividend reinvestment, direct stock and employee stock purchase plans
|
25,183
|
577
|
-
|
577
|
||||||||||||
Balance, March 31, 2015
|
12,855,704
|
$
|
78,133
|
$
|
27,616
|
$
|
105,749
|
|
Common
Stock
Shares
|
Common
Stock
Amount
|
Retained
Earnings
|
Total
|
||||||||||||
|
||||||||||||||||
Balance, December 31, 2013
|
12,979,281
|
$
|
80,545
|
$
|
22,966
|
$
|
103,511
|
|||||||||
Net income
|
-
|
-
|
2,111
|
2,111
|
||||||||||||
Dividends
|
-
|
-
|
(1,860
|
)
|
(1,860
|
)
|
||||||||||
Retirement of common stock
|
(27,980
|
)
|
(572
|
)
|
-
|
(572
|
)
|
|||||||||
Issuance of common stock under dividend reinvestment, direct stock and employee stock purchase plans
|
38,890
|
782
|
-
|
782
|
||||||||||||
Balance, March 31, 2014
|
12,990,191
|
$
|
80,755
|
$
|
23,217
|
$
|
103,972
|
|
Three Months
Ended March 31
|
|||||||
|
2015
|
2014
|
||||||
CASH FLOWS FROM OPERATING ACTIVITIES:
|
||||||||
Net income
|
$
|
2,528
|
$
|
2,111
|
||||
Adjustments to reconcile net income to net cash provided by operating activities:
|
||||||||
Depreciation and amortization
|
1,549
|
1,477
|
||||||
Increase (decrease) in deferred income taxes
|
779
|
(92
|
)
|
|||||
Other
|
55
|
57
|
||||||
Changes in assets and liabilities:
|
||||||||
(Increase) decrease in accounts receivable and unbilled revenues
|
(16
|
)
|
170
|
|||||
Decrease in recoverable income taxes | 18 |
-
|
||||||
(Increase) decrease in materials and supplies, prepaid expenses, regulatory and other assets
|
51
|
(382
|
)
|
|||||
Decrease in accounts payable, accrued compensation and benefits, accrued expenses, deferred employee benefits, and other deferred credits
|
(1,832
|
)
|
(1,585
|
)
|
||||
Increase in accrued interest and taxes
|
100
|
431
|
||||||
Net cash provided by operating activities
|
3,232
|
2,187
|
||||||
|
||||||||
CASH FLOWS FROM INVESTING ACTIVITIES:
|
||||||||
Utility plant additions, including debt portion of allowance for funds used during construction of $31 in 2015 and $24 in 2014
|
(2,920
|
)
|
(2,007
|
)
|
||||
Acquisitions of water and wastewater systems
|
-
|
(271
|
)
|
|||||
Decrease in notes receivable
|
6
|
12
|
||||||
Net cash used in investing activities
|
(2,914
|
)
|
(2,266
|
)
|
||||
|
||||||||
CASH FLOWS FROM FINANCING ACTIVITIES:
|
||||||||
Customers' advances for construction and contributions in aid of construction
|
126
|
1
|
||||||
Repayments of customer advances
|
(117
|
)
|
(90
|
)
|
||||
Proceeds of long-term debt issues
|
2,226
|
-
|
||||||
Repayments of long-term debt
|
(2,237
|
)
|
(11
|
)
|
||||
Repurchase of common stock
|
-
|
(572
|
)
|
|||||
Issuance of common stock
|
577
|
782
|
||||||
Dividends paid
|
(1,913
|
)
|
(1,857
|
)
|
||||
Net cash used in financing activities
|
(1,338
|
)
|
(1,747
|
)
|
||||
|
||||||||
Net change in cash and cash equivalents
|
(1,020
|
)
|
(1,826
|
)
|
||||
Cash and cash equivalents at beginning of period
|
1,488
|
7,565
|
||||||
Cash and cash equivalents at end of period
|
$
|
468
|
$
|
5,739
|
||||
|
||||||||
Supplemental disclosures of cash flow information:
|
||||||||
Cash paid during the period for:
|
||||||||
Interest, net of amounts capitalized
|
$
|
1,123
|
$
|
1,130
|
||||
Income taxes
|
-
|
1,043
|
||||||
|
||||||||
Supplemental schedule of non-cash investing and financing activities:
|
||||||||
Accounts payable includes $605 in 2015 and $777 in 2014 for the construction of utility plant.
|
1. | Basis of Presentation |
2. | Common Stock and Basic Earnings Per Share |
3. | Pensions |
|
Three Months
Ended March 31
|
|||||||
|
2015
|
2014
|
||||||
|
||||||||
Service cost
|
$
|
291
|
$
|
238
|
||||
Interest cost
|
379
|
361
|
||||||
Expected return on plan assets
|
(557
|
)
|
(497
|
)
|
||||
Amortization of actuarial loss
|
176
|
31
|
||||||
Amortization of prior service cost
|
(3
|
)
|
(3
|
)
|
||||
Rate-regulated adjustment
|
289
|
327
|
||||||
Net periodic pension expense
|
$
|
575
|
$
|
457
|
4. | Interest Rate Swap Agreement |
5. | Fair Value Measurements |
Description
|
March 31, 2015
|
Fair Value Measurements
at Reporting Date Using
Significant Other Observable Inputs (Level 2)
|
Interest Rate Swap
|
$2,844
|
$2,844
|
Description
|
December 31, 2014
|
Fair Value Measurements
at Reporting Date Using
Significant Other Observable Inputs (Level 2)
|
Interest Rate Swap
|
$2,592
|
$2,592
|
6. | Debt |
|
As of
Mar. 31, 2015
|
As of
Dec. 31, 2014
|
||||||
4.05% Pennsylvania Economic Development Financing Authority Exempt Facilities Revenue Bonds, Series A of 2004, due 2016
|
$
|
2,350
|
$
|
2,350
|
||||
5.00% Pennsylvania Economic Development Financing Authority Exempt Facilities Revenue Bonds, Series A of 2004, due 2016
|
4,950
|
4,950
|
||||||
10.17% Senior Notes, Series A, due 2019
|
6,000
|
6,000
|
||||||
9.60% Senior Notes, Series B, due 2019
|
5,000
|
5,000
|
||||||
1.00% Pennvest Note, due 2019
|
194
|
205
|
||||||
10.05% Senior Notes, Series C, due 2020
|
6,500
|
6,500
|
||||||
8.43% Senior Notes, Series D, due 2022
|
7,500
|
7,500
|
||||||
Variable Rate Pennsylvania Economic Development Financing Authority Exempt Facilities Revenue Refunding Bonds, Series 2008A, due 2029
|
12,000
|
12,000
|
||||||
4.75% Industrial Development Authority Revenue Bonds, Series 2006, due 2036
|
10,500
|
10,500
|
||||||
4.50% Pennsylvania Economic Development Financing Authority Exempt Facilities Revenue Refunding Bonds, Series 2014, due 2038
|
14,880
|
14,880
|
||||||
5.00% Monthly Senior Notes, Series 2010A, due 2040
|
15,000
|
15,000
|
||||||
Total long-term debt
|
84,874
|
84,885
|
||||||
Less current maturities
|
(43
|
)
|
(43
|
)
|
||||
Long-term portion
|
$
|
84,831
|
$
|
84,842
|
7. | Income Taxes |
8. | Acquisitions |
9. | Rate Matters |
10. | Impact of Recent Accounting Pronouncements |
Item 2. | Management's Discussion and Analysis of Financial Condition and Results of Operations (In thousands of dollars, except per share amounts) |
·
|
the amount and timing of rate increases and other regulatory matters including the recovery of costs recorded as regulatory assets;
|
·
|
expected profitability and results of operations;
|
·
|
trends;
|
·
|
goals, priorities and plans for, and cost of, growth and expansion;
|
·
|
strategic initiatives;
|
·
|
availability of water supply;
|
·
|
water usage by customers; and
|
·
|
the ability to pay dividends on common stock and the rate of those dividends.
|
·
|
changes in weather, including drought conditions or extended periods of heavy rainfall;
|
·
|
levels of rate relief granted;
|
·
|
the level of commercial and industrial business activity within the Company's service territory;
|
·
|
construction of new housing within the Company's service territory and increases in population;
|
·
|
changes in government policies or regulations, including the tax code;
|
·
|
the ability to obtain permits for expansion projects;
|
·
|
material changes in demand from customers, including the impact of conservation efforts which may impact the demand of customers for water;
|
·
|
changes in economic and business conditions, including interest rates, which are less favorable than expected;
|
· | loss of customers; |
·
|
changes in, or unanticipated, capital requirements;
|
·
|
the impact of acquisitions;
|
·
|
changes in accounting pronouncements;
|
·
|
changes in the Company's credit rating or the market price of its common stock;
|
·
|
the ability to obtain financing; and
|
·
|
other matters set forth in Item 1A, "Risk Factors" of the Company's Annual Report on Form 10-K for the year ended December 31, 2014.
|
Quantitative and Qualitative Disclosures About Market Risk
|
Item 4.
|
Controls and Procedures
|
Exhibit No.
|
Description
|
3
|
Amended and Restated Articles of Incorporation. Incorporated herein by reference to Exhibit 3.1 of the Company's Current Report on Form 8-K filed with the Securities and Exchange Commission on May 4, 2010.
|
3.1
|
Amended and Restated By-Laws. Incorporated herein by reference to Exhibit 3.1 of the Company's Current Report on Form 8-K filed with the Securities and Exchange Commission on January 26, 2012.
|
|
|
|
|
|
|
101.INS
|
XBRL Instance Document
|
101.SCH
|
XBRL Taxonomy Extension Schema
|
101.CAL
|
XBRL Taxonomy Extension Calculation Linkbase
|
101.DEF
|
XBRL Taxonomy Extension Definition Linkbase
|
101.LAB
|
XBRL Taxonomy Extension Label Linkbase
|
101.PRE
|
XBRL Taxonomy Extension Presentation Linkbase
|
|
THE YORK WATER COMPANY
|
|
|
|
/s/Jeffrey R. Hines |
Date: May 5, 2015
|
Jeffrey R. Hines
Principal Executive Officer
|
|
|
|
/s/Kathleen M. Miller |
Date: May 5, 2015
|
Kathleen M. Miller
Principal Financial and Accounting Officer
|
Exhibit No.
|
Description
|
3
|
Amended and Restated Articles of Incorporation. Incorporated herein by reference to Exhibit 3.1 of the Company's Current Report on Form 8-K filed with the Securities and Exchange Commission on May 4, 2010.
|
3.1
|
Amended and Restated By-Laws. Incorporated herein by reference to Exhibit 3.1 of the Company's Current Report on Form 8-K filed with the Securities and Exchange Commission on January 26, 2012.
|
|
|
|
|
101.INS
|
XBRL Instance Document
|
101.SCH
|
XBRL Taxonomy Extension Schema
|
101.CAL
|
XBRL Taxonomy Extension Calculation Linkbase
|
101.DEF
|
XBRL Taxonomy Extension Definition Linkbase
|
101.LAB
|
XBRL Taxonomy Extension Label Linkbase
|
101.PRE
|
XBRL Taxonomy Extension Presentation Linkbase
|