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
|
1
|
Financial
Statements
|
|
Statements
of Net Assets Available for Benefits as of December 31, 2006 and
2005
|
2
|
Statements
of Changes in Net Assets Available for Benefits for the Year Ended
December 31, 2006
|
3
|
Notes
to Financial Statements as of December 31, 2006 and 2005, and for
the Year
Ended December 31, 2006.
|
4
-
8
|
Supplemental
Schedule:
|
|
Schedule
H, Part IV, Line 4i - Schedule of Assets (Held at End of Year) -
December
31, 2006
|
9
|
Exhibit
Index
|
10
|
Signature
|
11
|
2006
|
2005
|
|||||||
Investments,
at fair value:
|
||||||||
Shares
of registered investment companies
|
$ |
397,557,620
|
$ |
252,835,825
|
||||
Shares
of common/collective trusts
|
21,619,429
|
18,440,753
|
||||||
PNM
Resources, Inc. Common Stock Fund
|
10,831,711
|
8,807,369
|
||||||
Participant
loans
|
10,282,649
|
6,888,804
|
||||||
Total
investments
|
440,291,409
|
286,972,751
|
||||||
Receivables:
|
||||||||
Employer
contributions
|
420,101
|
1,055,768
|
||||||
Participant
contributions
|
165
|
740,259
|
||||||
Total
receivables
|
420,266
|
1,796,027
|
||||||
Total
assets
|
440,711,675
|
288,768,778
|
||||||
Net
assets available for benefits at fair value
|
440,711,675
|
288,768,778
|
||||||
Adjustment
from fair value to contract value for benefit responsive
|
||||||||
investment
contracts
|
208,036
|
243,190
|
||||||
Net
assets available for benefits
|
$ |
440,919,711
|
$ |
289,011,968
|
Additions
to net assets:
|
||||
Investment
income:
|
||||
Interest
and dividend income
|
$ |
20,893,511
|
||
Net
appreciation in fair value of investments
|
22,559,926
|
|||
Total
income
|
43,453,437
|
|||
Contributions:
|
||||
Participants'
contributions
|
21,570,851
|
|||
Employer's
contributions
|
19,512,255
|
|||
Other
Additions
|
12,835
|
|||
Total
contributions
|
41,095,941
|
|||
Asset
Transfer In (TNMP Thrift Plan)
|
90,219,788
|
|||
Total
additions
|
174,769,166
|
|||
Deductions
from net assets:
|
||||
Benefits
paid to participants
|
22,831,005
|
|||
Administrative
expenses
|
30,418
|
|||
Total
deductions
|
22,861,423
|
|||
Net
increase in net assets available for benefits
|
151,907,743
|
|||
Net
assets available for benefits, beginning of year
|
289,011,968
|
|||
Net
assets available for benefits, end of year
|
$ |
440,919,711
|
1.
|
PLAN
DESCRIPTION
|
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%
|
2.
|
SUMMARY
OF SIGNIFICANT ACCOUNTING
POLICIES
|
2006
|
2005
|
|||||||
Vanguard
PRIMECAP Fund
|
60,941,789
|
33,305,773
|
||||||
Vanguard
Wellington Fund
|
60,420,760
|
35,398,976
|
||||||
Vanguard
500 Index Fund
|
52,600,397
|
27,322,740
|
||||||
Vanguard
Prime Money Market Fund
|
51,225,990
|
-
|
||||||
Vanguard
Treasury Money Market Fund
|
-
|
25,085,582
|
||||||
RS
Partners
|
9,095,964
|
-
|
||||||
Vanguard
Windsor Fund
|
-
|
20,266,775
|
||||||
Vanguard
Windsor II Fund
|
45,279,613
|
18,169,058
|
||||||
Vanguard
Strategic Equity Fund
|
-
|
18,404,751
|
||||||
Vanguard
Long-Term Treasury Fund
|
-
|
11,895,373
|
||||||
Vanguard
International Growth Fund
|
-
|
12,059,023
|
||||||
Vanguard
LifeStrategy Growth Fund
|
-
|
6,853,234
|
||||||
Vanguard
LifeStrategy Moderate Growth Fund
|
-
|
5,029,905
|
||||||
Vanguard
Asset Allocation Fund
|
-
|
4,774,663
|
||||||
Vanguard
Short-Term Corporate Fund
|
-
|
4,578,034
|
||||||
Vanguard
LifeStrategy Income Fund
|
-
|
2,505,734
|
||||||
Vanguard
LifeStrategy Conservative Growth Fund
|
-
|
2,160,504
|
||||||
Vanguard
Prime Mondy Market Fund
|
-
|
947,779
|
||||||
Vanguard
Explorer Fund
|
19,269,460
|
-
|
||||||
Vanguard
Target Retirement 2005
|
3,295,097
|
-
|
||||||
Vanguard
Target Retirement 2015
|
17,414,446
|
-
|
||||||
Vanguard
Target Retirement 2025
|
13,607,992
|
-
|
||||||
Vanguard
Target Retirement 2035
|
6,160,987
|
-
|
||||||
Vanguard
Target Retirement 2045
|
5,587,158
|
-
|
||||||
Vanguard
Target Retirement Income
|
2,069,204
|
-
|
||||||
Vanguard
Retirement Savings Trust
|
21,827,465
|
18,683,943
|
||||||
PIMCO
Total Return Fund
|
22,302,151
|
-
|
||||||
PIMCO
Total Return Fund, Administrative
|
-
|
4,951,202
|
||||||
PIMCO
StocksPLUS Fund - Admin Class
|
-
|
1,683,408
|
||||||
American
Funds EuroPacific R5
|
28,256,614
|
-
|
||||||
Baron
Growth Fund
|
-
|
8,453,746
|
||||||
American
Funds Growth Fund
|
-
|
8,989,565
|
||||||
During
2006, the Plan's investments appreciated in fair value as
follows:
|
||||||||
2006
|
||||||||
Registered
investment companies:
|
20,260,095
|
|||||||
PNM
Resources, Inc. Common Stock Fund
|
2,299,831
|
|||||||
22,559,926
|
4.
|
TAX
STATUS
|
5.
|
PARTY-IN-INTEREST
|
6.
|
PLAN
TERMINATION
|
7.
|
RECONCILIATION
OF FINANCIAL STATEMENTS TO FORM
5500
|
2006
|
2005
|
|||||||
Net
assets available for benefits per the financial statements
|
$ |
440,919,711
|
$ |
289,011,968
|
||||
Adjustment
from contract value to fair value for fully
|
||||||||
benefit-responsive
investment contracts
|
(208,036 | ) | (243,190 | ) | ||||
Net
assets available for benefits per the Form 5500
|
$ |
440,711,675
|
$ |
288,768,778
|
||||
The
following is a reconciliation of the net increase in assets
before
|
||||||||
transfers-in
per the financial statements to the amounts reflected in the Form
5500 as
of December 31, 2006:
|
||||||||
2006
|
||||||||
Net
increase in assets before transfers-in per the financial
statements
|
$ |
43,453,437
|
||||||
Adjustment
from contract value to fair value for fully
|
||||||||
benefit-responsive
investment contracts
|
(208,036 | ) | ||||||
Net
increase in assets before transfers-in per Form 5500
|
$ |
43,245,401
|
Identity
of Issue
|
Description
of Investment
|
Cost
|
Current
Value
|
||||
Vanguard
Group:
|
|||||||
*
|
Vanguard
PRIMECAP Fund
|
Registered
investment company
|
**
|
$ 60,941,789
|
|||
*
|
Vanguard
Wellington Fund
|
Registered
investment company
|
**
|
60,420,760
|
|||
*
|
Vanguard
500 Index Fund
|
Registered
investment company
|
**
|
52,600,397
|
|||
*
|
Vanguard
Prime Money Market Fund
|
Registered
investment company
|
**
|
51,255,990
|
|||
*
|
RS
Partners
|
Registered
investment company
|
**
|
9,095,964
|
|||
*
|
Vanguard
Windsor II Fund
|
Registered
investment company
|
**
|
45,279,613
|
|||
*
|
Vanguard
Explorer Fund
|
Registered
investment company
|
**
|
19,269,460
|
|||
*
|
Vanguard
Target Retirement 2005
|
Registered
investment company
|
**
|
3,295,097
|
|||
*
|
Vanguard
Target Retirement 2015
|
Registered
investment company
|
**
|
17,414,446
|
|||
*
|
Vanguard
Target retirement 2025
|
Registered
investment company
|
**
|
13,607,992
|
|||
*
|
Vanguard
Target Retirement 2035
|
Registered
investment company
|
**
|
6,160,987
|
|||
*
|
Vanguard
Target Retirement 2045
|
Registered
investment company
|
**
|
5,587,158
|
|||
*
|
Vanguard
Target Retirement Income
|
Registered
investment company
|
**
|
2,069,204
|
|||
*
|
Vanguard
Retirement Savings Trust
|
Common/Collective
Trust
|
**
|
21,827,465
|
|||
PIMCO
Total Return Fund
|
Registered
investment company
|
**
|
22,302,151
|
||||
American
Funds EuroPacific R5
|
Registered
investment company
|
**
|
28,256,614
|
||||
*
|
Participant
Loans
|
5%
- 10.75%, maturing 1/2007 to 12/2016
|
**
|
10,282,649
|
|||
*
|
PNM
Resources, Inc. Common Stock Fund
|
Company
stock fund
|
**
|
10,831,711
|
|||
Total
investments
|
$
440,499,447
|
||||||
*
|
Represents a party-in-interest. | ||||||
**
|
Participant-directed investment, cost not required. |
23.1
|
Consent
of Deloitte & Touche LLP.
|
|
PNM
RESOURCES, INC.
|
||
Retirement
Savings Plan
|
||
(Name
of Plan)
|
||
Date: June
29, 2007
|
By:
|
/s/
Alice Cobb
|
Alice
Cobb
|
||
Committee
Chairperson, PNM Resources, Inc.
|
||
Benefits
Governance Committee
|