Quarterly Report — Form 10-Q — Sect. 13 / 15(d) – SEA’34 Filing Table of Contents
Document/ExhibitDescriptionPagesSize
1: 10-Q Quarterly Report HTML 1.27M
2: EX-10.2 Amendment to Rabbi Trust Agreement HTML 35K
3: EX-10.3 Second Amendment to Rabbi Trust Agreement HTML 34K
4: EX-12.1 Ratio of Earnings to Fixed Charges for Alliant HTML 58K
Energy
5: EX-12.2 Ratio of Earnings to Fixed Charges for Ipl HTML 57K
6: EX-12.3 Ratio of Earnings to Fixed Charges for Wpl HTML 51K
7: EX-31.1 Certification of the Chairman, President and CEO HTML 37K
for Alliant Energy
8: EX-31.2 Certification of the Senior Vice President and CFO HTML 37K
for Alliant Energy
9: EX-31.3 Certification of the Chairman and CEO for Ipl HTML 37K
10: EX-31.4 Certification of the Senior Vice President and CFO HTML 37K
for Ipl
11: EX-31.5 Certification of the Chairman and CEO for Wpl HTML 37K
12: EX-31.6 Certification of the Senior Vice President and CFO HTML 37K
for Wpl
13: EX-32.1 Written Statement of CEO and CFO Pursuant to 18 HTML 32K
U.S.C.1350 for Alliant Energy
14: EX-32.2 Written Statement of CEO and CFO Pursuant to 18 HTML 32K
U.S.C.1350 for Ipl
15: EX-32.3 Written Statement of CEO and CFO Pursuant to 18 HTML 32K
U.S.C.1350 for Wpl
77: R1 Document And Entity Information HTML 53K
64: R2 Condensed Consolidated Statements Of Income HTML 158K
75: R3 Condensed Consolidated Balance Sheets HTML 192K
80: R4 Condensed Consolidated Balance Sheets HTML 46K
(Parenthetical)
101: R5 Condensed Consolidated Statements Of Cash Flows HTML 151K
66: R6 Summary Of Significant Accounting Policies HTML 53K
74: R7 Regulatory Matters HTML 319K
58: R8 Property, Plant and Equipment HTML 54K
49: R9 Receivables HTML 116K
102: R10 Investments HTML 97K
82: R11 Common Equity HTML 83K
81: R12 Debt HTML 190K
88: R13 Income Taxes HTML 317K
89: R14 Benefit Plans HTML 903K
86: R15 Asset Retirement Obligations HTML 138K
90: R16 Fair Value Measurements HTML 1.10M
76: R17 Derivative Instruments HTML 481K
78: R18 Commitments And Contingencies HTML 224K
84: R19 Segments Of Business HTML 620K
110: R20 Related Parties HTML 160K
97: R21 Discontinued Operations And Assets And Liabilities HTML 119K
Held For Sale
70: R22 Summary Of Significant Accounting Policies HTML 58K
(Policy)
83: R23 Regulatory Matters (Tables) HTML 292K
72: R24 Receivables (Tables) HTML 110K
40: R25 Investments (Tables) HTML 94K
98: R26 Common Equity (Tables) HTML 38K
106: R27 Debt (Tables) HTML 186K
53: R28 Income Taxes (Tables) HTML 305K
52: R29 Benefit Plans (Tables) HTML 734K
56: R30 Asset Retirement Obligations (Tables) HTML 138K
57: R31 Fair Value Measurements (Tables) HTML 1.07M
59: R32 Derivative Instruments (Tables) HTML 475K
30: R33 Commitments And Contingencies (Tables) HTML 133K
95: R34 Segments Of Business (Tables) HTML 231K
68: R35 Related Parties (Tables) HTML 155K
71: R36 Discontinued Operations And Assets And Liabilities HTML 97K
Held for Sale (Tables)
44: R37 Summary Of Significant Accounting Policies HTML 37K
(Narrative) (Details)
109: R38 Regulatory Matters (Narrative) (Details) HTML 61K
22: R39 Regulatory Matters (Regulatory Assets) (Details) HTML 64K
61: R40 Regulatory Matters (Regulatory Liabilities) HTML 60K
(Details)
100: R41 Regulatory Matters (Tax Benefit Riders) (Details) HTML 41K
42: R42 Regulatory Matters (Customer Billing Credits) HTML 34K
(Details)
51: R43 Property, Plant and Equipment (Narrative) HTML 77K
(Details)
55: R44 Receivables (Narrative) (Details) HTML 46K
65: R45 Receivables (Maximum And Average Outstanding Cash HTML 37K
Proceeds) (Details)
29: R46 Receivables (Receivables Sold Under The Agreement) HTML 51K
(Details)
48: R47 Receivables (Additional Attributes Of Receivables HTML 36K
Sold Under The Agreement) (Details)
24: R48 Investments (Unconsolidated Equity Investments) HTML 45K
(Details)
99: R49 Common Equity (Narrative) (Details) HTML 66K
41: R50 Common Equity (Common Share Activity) (Details) HTML 46K
96: R51 Debt (Narrative) (Details) HTML 44K
45: R52 Debt (Credit Facilities) (Details) HTML 53K
62: R53 Debt (Other Short-Term Borrowings) (Details) HTML 43K
23: R54 Income Taxes (Narrative) (Details) HTML 36K
27: R55 Income Taxes (Schedule Of Effective Income Tax HTML 58K
Rates) (Details)
54: R56 Income Taxes (Summary Of Tax Credit Carryforwards) HTML 56K
(Details)
34: R57 Benefit Plans (Narrative) (Details) HTML 39K
103: R58 Benefit Plans (Defined Benefit Pension And Other HTML 74K
Postretirement Benefits Plans) (Details)
67: R59 Benefit Plans (Defined Contribution Retirement HTML 36K
Plans) (Details)
87: R60 Benefit Plans (Recognized Compensation Expense And HTML 40K
Income Tax Benefits) (Details)
47: R61 Benefit Plans (Summary Of Performance Shares HTML 60K
Activity) (Details)
50: R62 Benefit Plans (Summary Of Performance Unit HTML 54K
Activity) (Details)
94: R63 Benefit Plans (Fair Values Of Nonvested HTML 66K
Performance Shares And Units) (Details)
91: R64 Benefit Plans (Summary Of Restricted Stock HTML 64K
Activity) (Details)
69: R65 Benefit Plans (Summary Of Performance Contingent HTML 55K
Cash Awards Activity) (Details)
93: R66 Asset Retirement Obligations (Reconciliation Of HTML 62K
Changes In Asset Retirement Obligations) (Details)
46: R67 Fair Value Measurements (Narrative) (Details) HTML 32K
73: R68 Fair Value Measurements (Fair Value Of Financial HTML 74K
Instruments) (Details)
105: R69 Fair Value Measurements (Fair Value Measurements) HTML 99K
(Details)
26: R70 Fair Value Measurements (Fair Value Measurements HTML 79K
Using Significant Unobservable Inputs) (Details)
39: R71 Fair Value Measurements (Fair Value Of Net HTML 56K
Derivative Assets (Liabilities)) (Details)
63: R72 Derivative Instruments (Notional Amounts Of HTML 104K
Derivative Instruments) (Details)
33: R73 Derivative Instruments (Fair Value Of Financial HTML 56K
Instruments) (Details)
108: R74 Derivative Instruments (Gains And Losses From HTML 45K
Derivative Instruments) (Details)
43: R75 Derivative Instruments (Credit Risk-related HTML 41K
Contingent Features) (Details)
35: R76 Derivative Instruments (Balance Sheet Offsetting) HTML 53K
(Details)
38: R77 Commitments And Contingencies (Narrative) HTML 64K
(Details)
28: R78 Commitments And Contingencies (Operating Expense HTML 72K
Purchase Obligations) (Details)
31: R79 Commitments And Contingencies (MPG Site Estimated HTML 44K
Future Costs And Recorded Liabilities) (Details)
79: R80 Segments Of Business (Schedule Of Segments Of HTML 80K
Business) (Details)
37: R81 Related Parties (Narrative) (Details) HTML 40K
104: R82 Related Parties (Service Agreements) (Details) HTML 47K
60: R83 Related Parties (Net Intercompany Payables) HTML 37K
(Details)
85: R84 Related Parties (Amounts Billed Between Parties) HTML 39K
(Details)
92: R85 Discontinued Operations And Assets And Liabilities HTML 47K
Held For Sale (Components Of Discontinued
Operations In Consolidated Statements Of Income
(Details)
36: R86 Discontinued Operations And Assets And Liabilities HTML 66K
Held For Sale (Components Of Assets And
Liabilities Held For Sale In Consolidated Balance
Sheets) (Details)
107: XML IDEA XML File -- Filing Summary XML 190K
25: EXCEL IDEA Workbook of Financial Reports XLSX 121K
16: EX-101.INS XBRL Instance -- lnt-20150630 XML 12.32M
18: EX-101.CAL XBRL Calculations -- lnt-20150630_cal XML 239K
19: EX-101.DEF XBRL Definitions -- lnt-20150630_def XML 1.41M
20: EX-101.LAB XBRL Labels -- lnt-20150630_lab XML 1.80M
21: EX-101.PRE XBRL Presentations -- lnt-20150630_pre XML 1.49M
17: EX-101.SCH XBRL Schema -- lnt-20150630 XSD 240K
32: ZIP XBRL Zipped Folder -- 0000352541-15-000022-xbrl Zip 560K
‘EX-10.3’ — Second Amendment to Rabbi Trust Agreement
This Amendment (this “Amendment”) to the Alliant Energy Rabbi Trust Agreement dated as of December 29, 2005 (as amended, amended and restated or otherwise modified from time to time, the “Trust Agreement”) is made by and between Alliant Energy Corporate Services,
Inc., an Iowa corporation (the “Sponsor”) and Wells Fargo Bank, N.A., a national banking association, as trustee (the “Trustee”), effective as of the execution date appearing below. Capitalized terms used and not otherwise defined herein shall have the meanings assigned to them in the Trust Agreement.
WHEREAS, the Sponsor and the Trustee entered into the Trust Agreement establishing a trust effective January 1, 2006 (the “Trust”) relating to the payment of deferred compensation under the terms of the various nonqualified plans (each referred to herein as a “Plan”) listed in Appendix A to the Trust Agreement; and
WHEREAS, the Sponsor desires to amend the Trust Agreement as provided below; and
WHEREAS,
in accordance with Section 12.1 of the Trust Agreement, the Trust Agreement may be amended by the Sponsor and the Trustee; and
WHEREAS, in accordance with Section 12.3 of the Trust Agreement, the Sponsor has determined that this Amendment will not reduce, impair, or otherwise adversely affect the rights or protections of any participant of any Plan.
NOW THEREFORE, the Sponsor and the Trustee, pursuant to Section 12.1 of the Trust Agreement, hereby agree to amend the Trust Agreement as follows:
Section 1. Amendment: Section 1 of the Trust Agreement shall be amended by adding the following new Section 1.10 thereto:
1.10. Notwithstanding anything herein to the contrary, no Company as defined
in the Trust Agreement shall make or cause to be made any contribution to or payment from any Plan Account with respect to any Plan participant (or such Plan participant’s beneficiary) in the event that such contribution or payment would result in a property transfer and income inclusion for such Plan participant under the operation of Section 409A(b)(3) of the Code.
Section 2. Effect of Amendment: On and after the effectiveness of this Amendment, each reference in the Trust Agreement to “this Agreement”, the “Trust Agreement”, “hereunder”, “hereof” or words of like import referring to the Trust Agreement, shall mean and be a reference to the Trust Agreement, as amended by this Amendment. Except as amended hereby, the Trust Agreement continues and shall remain in full force and effect in all respects.
IN WITNESS
WHEREOF, this instrument is executed as of the 5th day of August, 2015.