Commission
File Number
|
Name
of Registrant, State of Incorporation,
Address and Telephone
Number
|
I.R.S.
Employer
Identification No.
|
||
001-32462
|
PNM
Resources, Inc.
(A
New Mexico Corporation)
Alvarado
Square
Albuquerque,
New Mexico 87158
(505)
241-2700
|
85-0468296
|
Page
|
|
Report
of Independent Registered Public Accounting Firm
|
2
|
Statements
of net assets available for benefits as of December 31, 2008 and
2007
|
3
|
Statement
of changes in net assets available for benefits
|
|
for
the year ended December 31, 2008
|
4
|
Notes
to financial statements
|
5
|
Schedule
I: Schedule H, Line 4(i) – Schedule of Assets (Held At End of
Year) - December 31, 2008
|
12
|
Exhibit
Index
|
13
|
Signature
|
14
|
STATEMENTS
OF NET ASSETS AVAILABLE FOR BENEFITS
|
||||||||
December
31,
|
||||||||
2008
|
2007
|
|||||||
Investments,
at fair value:
|
||||||||
Shares
of registered investment companies
|
$ | 318,191,773 | $ | 435,503,482 | ||||
Shares
of common/collective trusts
|
32,065,667 | 21,775,987 | ||||||
Participant
loans
|
10,725,388 | 11,111,579 | ||||||
PNM
Resources, Inc. Common Stock Fund
|
5,637,243 | 7,621,490 | ||||||
Total
investments
|
366,620,071 | 476,012,538 | ||||||
Receivables:
|
||||||||
Employer
contributions
|
421,401 | 560,957 | ||||||
Participant
contributions
|
206 | 30 | ||||||
Total
receivables
|
421,607 | 560,987 | ||||||
Total
assets
|
367,041,678 | 476,573,525 | ||||||
Net
assets available for benefits at fair value
|
367,041,678 | 476,573,525 | ||||||
Adjustment
from fair value to contract value for
|
||||||||
benefit-responsive
investment contracts
|
419,120 | (165,063 | ) | |||||
Net
assets available for benefits
|
$ | 367,460,798 | $ | 476,408,462 | ||||
STATEMENT
OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
|
||||
Year
Ended December 31, 2008
|
||||
Additions
to net assets:
|
||||
Investment income: | ||||
Interest and dividend income
|
$ | 17,749,962 | ||
Net depreciation in fair value of investments | (127,372,749 | ) | ||
Total investment loss | (109,622,787 | ) | ||
Contributions:
|
||||
Participants' contributions
|
21,503,268 | |||
Employer's contributions
|
19,742,357 | |||
Total contributions
|
41,245,625 | |||
Total additions, net of investment
loss
|
(68,377,162 | ) | ||
Deductions
from net assets:
|
||||
Benefits
paid to participants
|
38,900,834 | |||
Administrative
and other expenses
|
36,816 | |||
Total
deductions
|
38,937,650 | |||
Net
decrease in net assets available for benefits before
transfers
|
(107,314,812 | ) | ||
Assets
transferred out to Optim Energy, LLC 401(k) Plan (see Note
1)
|
(1,632,852 | ) | ||
Net
assets available for benefits, beginning of year
|
476,408,462 | |||
Net
assets available for benefits, end of year
|
$ | 367,460,798 | ||
Under 40 years of age
|
3%
|
40 - 44 years of age
|
5%
|
45 - 49 years of age
|
6%
|
50 - 54 years of age
|
8%
|
55 years of age or older
|
10%
|
2008
|
2007
|
|||||||
Vanguard Prime Money Market Fund
|
$ | 60,582,122 | $ | 57,227,250 | ||||
Vanguard Wellington Fund
|
45,423,595 | 63,174,135 | ||||||
Vanguard PRIMECAP Fund
|
41,012,305 | 64,040,445 | ||||||
Vanguard Retirement Savings Trust
|
32,065,667 | 21,775,987 | ||||||
Vanguard 500 Index Fund
|
30,893,553 | 52,332,662 | ||||||
PIMCO Total Return Fund
|
29,832,799 | 25,299,474 | ||||||
Vanguard Windsor II Fund
|
24,595,383 | 44,206,493 | ||||||
Vanguard Target Retirement 2015
|
19,153,808 | 24,334,735 | ||||||
American Funds EuroPacific R5
|
18,777,585 | 34,422,980 | ||||||
Registered investment companies
|
$ | (122,871,880 | ) | $ | 4,720,733 | |||
PNM Resources, Inc. Common Stock Fund
|
(4,500,869 | ) | (3,332,516 | ) | ||||
$ | (127,372,749 | ) | $ | 1,388,217 |
Total
|
Level
1
|
Level
2
|
Level
3
|
|||||||||||||
Shares
of registered investment companies
|
$ | 318,191,773 | $ | 318,191,773 | $ | - | $ | - | ||||||||
Shares
of common/collective trusts
|
32,065,667 | - | 32,065,667 | - | ||||||||||||
Participant
loans
|
10,725,388 | - | - | 10,725,388 | ||||||||||||
PNM
Resources, Inc. Common Stock Fund
|
5,637,243 | 5,637,243 | - | - | ||||||||||||
Total
investments measured at fair value
|
$ | 366,620,071 | $ | 323,829,016 | $ | 32,065,667 | $ | 10,725,388 |
Participant
Loans
|
||||
Balance at
beginning of period
|
$ | 11,111,579 | ||
Issuances,
repayments and settlements, net
|
(386,191 | ) | ||
Balance at end
of period
|
$ | 10,725,388 |
2008
|
2007
|
|||||||
Net
assets available for benefits per the financial statements
|
$ | 367,460,798 | $ | 476,408,462 | ||||
Adjustment
from contract value for fully benefit-responsive investment
contracts
|
(419,120 | ) | 165,063 | |||||
Net assets available for benefits per the Form 5500
|
$ | 367,041,678 | $ | 476,573,525 |
2008
|
||||
Net
(decrease) in assets before transfers out per the financial
statements
|
$ | (107,314,812 | ) | |
Adjustment
from contract value to fair value for fully benefit-responsive investment
contracts 12/31/08
|
(419,120 | ) | ||
Adjustment
from contract value to fair value for fully benefit-responsive investment
contracts 12/31/07
|
(165,063 | ) | ||
Net
(decrease) in assets before transfers out per
Form 5500
|
$ | (107,898,995 | ) |
Schedule
I
|
|||||||||
PNM
Resources, Inc. Retirement Savings Plan
|
|||||||||
EIN
85-0468296, Plan No. 005
|
|||||||||
SCHEDULE
H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
December
31, 2008
|
|||||||||
Identity
of Issue
|
Description
of Investment
|
Cost
|
Fair
Value
|
||||||
Vanguard
Group:
|
|||||||||
*
|
Vanguard
Prime Money Market Fund
|
Registered
investment company
|
**
|
$ 60,582,122
|
|||||
*
|
Vanguard
Wellington Fund
|
Registered
investment company
|
**
|
45,423,595
|
|||||
*
|
Vanguard
PRIMECAP Fund
|
Registered
investment company
|
**
|
41,012,305
|
|||||
*
|
Vanguard
Retirement Savings Trust
|
Common/collective
trust
|
**
|
32,065,667
|
|||||
*
|
Vanguard
500 Index Fund
|
Registered
investment company
|
**
|
30,893,553
|
|||||
*
|
Vanguard
Windsor II Fund
|
Registered
investment company
|
**
|
24,595,383
|
|||||
*
|
Vanguard
Target Retirement 2015
|
Registered
investment company
|
**
|
19,153,808
|
|||||
*
|
Vanguard
Target Retirement 2025
|
Registered
investment company
|
**
|
14,399,223
|
|||||
*
|
Vanguard
Explorer Fund
|
Registered
investment company
|
**
|
10,450,795
|
|||||
*
|
Vanguard
Target Retirement 2035
|
Registered
investment company
|
**
|
6,848,306
|
|||||
*
|
Vanguard
Target Retirement 2045
|
Registered
investment company
|
**
|
5,023,104
|
|||||
*
|
Vanguard
Target Retirement 2005
|
Registered
investment company
|
**
|
3,920,094
|
|||||
*
|
Vanguard
Target Retirement Income
|
Registered
investment company
|
**
|
2,984,074
|
|||||
American
Funds EuroPacific R5
|
Registered
investment company
|
**
|
18,777,585
|
||||||
PIMCO
Total Return Fund
|
Registered
investment company
|
**
|
29,832,799
|
||||||
RS
Partners
|
Registered
investment company
|
**
|
4,295,027
|
||||||
*
|
Participant
Loans
|
5%
- 10.75%, maturing
|
**
|
10,725,388
|
|||||
2/2009
to 9/2018
|
|||||||||
*
|
PNM
Resources, Inc. Common Stock Fund
|
Company
stock fund
|
**
|
5,637,243
|
|||||
Total
investments
|
$ 366,620,071
|
||||||||
*
|
Represents
a party-in-interest.
|
||||||||
*
|
*
|
Participant-directed
investment, cost not required.
|
|||||||
23.1
|
Consent
of Grant Thornton LLP.
|
|
PNM
RESOURCES, INC.
|
||
Retirement
Savings Plan
|
||
(Name
of Plan)
|
||
Date: June
19, 2009
|
By:
|
/s/
Alice Cobb
|
Alice
Cobb
|
||
Committee
Chairperson, PNM Resources, Inc.
|
||
Benefits
Governance Committee
|