XML 70 R51.htm IDEA: XBRL DOCUMENT v3.23.2
SHORT-TERM AND LONG-TERM DEBT (Tables)
6 Months Ended
Jun. 30, 2023
Debt Disclosure [Abstract]  
Borrowings Outstanding and Available under the Commercial Paper Programs
The amount of borrowings outstanding and available under the commercial paper programs were as follows:
Borrowings Outstanding as ofAvailable Borrowing Capacity as ofWeighted-Average Interest Rate as of
June 30, 2023December 31, 2022June 30, 2023December 31, 2022June 30, 2023December 31, 2022
(Millions of Dollars)
Eversource Parent Commercial Paper Program $529.0 $1,442.2 $1,471.0 $557.8 5.31 %4.63 %
NSTAR Electric Commercial Paper Program 324.0 — 326.0 650.0 5.17 %— %
Summary of Long-Term Debt Issuance and Repayments The following table summarizes long-term debt issuances and repayments:
(Millions of Dollars)Interest RateIssuance/(Repayment)Issue Date or Repayment DateMaturity DateUse of Proceeds for Issuance/
Repayment Information
CL&P 2023 Series A First Mortgage Bonds5.25 %$500.0 January 2023January 2053Repaid 2013 Series A Bonds at maturity and short-term debt, and paid capital expenditures and working capital
CL&P 2023 Series B First Mortgage Bonds4.90 %300.0 July 2023July 2033Repaid short-term debt, paid capital expenditures and working capital
CL&P 2013 Series A First Mortgage Bonds2.50 %(400.0)January 2023January 2023Paid at maturity
PSNH Series W First Mortgage Bonds5.15 %300.0 January 2023January 2053Repaid short-term debt, paid capital expenditures and working capital
Eversource Parent Series Z Senior Notes5.45 %750.0 March 2023March 2028
Repaid Series F Senior Notes at maturity and short-term debt
Eversource Parent Series F Senior Notes2.80 %(450.0)May 2023May 2023Paid at maturity
Eversource Parent Series Z Senior Notes5.45 %550.0 May 2023March 2028Repay Series T Senior Notes and Series N Senior Notes at maturity and short-term debt
Eversource Parent Series AA Senior Notes4.75 %450.0 May 2023May 2026Repay Series T Senior Notes and Series N Senior Notes at maturity and short-term debt
Eversource Parent Series BB Senior Notes5.125 %800.0 May 2023May 2033Repay Series T Senior Notes and Series N Senior Notes at maturity and short-term debt