EX-10.2
from 8-K
94 pages
Texas-New Mexico Power Company $150,000,000 $75,000,000 5.23% First Mortgage Bonds, Due September 1, 2031, Series 2026a $75,000,000 5.46% First Mortgage Bonds, Due September 1, 2033, Series 2026b Bond Purchase Agreement Dated August 19, 2026
12/34/56
EX-10.1
from 8-K
84 pages
Public Service Company of New Mexico $200,000,000 $115,000,000 5.44% Senior Unsecured Notes, Series A, Due August 31, 2029 $50,000,000 5.82% Senior Unsecured Notes, Series B, Due August 31, 2034 $35,000,000 6.12% Senior Unsecured Notes, Series C, Due August 31, 2038 Note Purchase Agreement Dated August 19, 2026
12/34/56
EX-10.12
from 10-Q
93 pages
Public Service Company of New Mexico $350,000,000 $200,000,000 5.47% Senior Unsecured Notes, Series C, Due July 31, 2031 $150,000,000 6.03% Senior Unsecured Notes, Series D, Due July 31, 2036 Note Purchase Agreement Dated July 31, 2025
12/34/56