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CONDENSED CONSOLIDATED BALANCE SHEETS (unaudited) - USD ($)
$ in Millions
Jun. 30, 2015
Dec. 31, 2014
PROPERTY, PLANT AND EQUIPMENT    
Electric plant in service and other property $ 69,621 $ 68,042
Nuclear fuel 2,093 2,006
Construction work in progress 5,550 3,591
Less accumulated depreciation and amortization (18,954) (17,934)
Total property, plant and equipment - net ($6,299 and $6,414 related to VIEs, respectively) 58,310 55,705
CURRENT ASSETS    
Cash and cash equivalents 551 577
Customer receivables, net of allowances 1,883 1,805
Other receivables 256 354
Materials, supplies and fossil fuel inventory 1,278 1,292
Regulatory assets:    
Deferred clause and franchise expenses 176 268
Derivatives 220 364
Other 116 116
Derivatives 796 990
Deferred income taxes 404 739
Other 666 439
Total current assets 6,346 6,944
OTHER ASSETS    
Special use funds 5,210 5,166
Other investments 1,613 1,399
Prepaid benefit costs 1,281 1,244
Regulatory assets:    
Securitized storm-recovery costs ($155 and $180 related to a VIE, respectively) 254 294
Other 641 657
Derivatives 1,307 1,009
Other 2,239 2,511
Total other assets 12,545 12,280
TOTAL ASSETS 77,201 74,929
CAPITALIZATION    
Common stock 5 4
Additional paid-in capital 7,881 7,179
Retained earnings 13,456 12,773
Accumulated other comprehensive loss (4) (40)
Total common shareholders' equity 21,338 19,916
Noncontrolling interests 263 252
Total equity 21,601 20,168
Long-term debt 25,235 24,367
Total capitalization 46,836 44,535
CURRENT LIABILITIES    
Commercial paper 821 1,142
Notes payable 950 0
Current maturities of long-term debt 2,768 3,515
Accounts payable 1,517 1,354
Customer deposits 466 462
Accrued interest and taxes 706 474
Regulatory liabilities:    
Derivatives 883 1,289
Accrued construction-related expenditures 704 676
Other 606 751
Total current liabilities 9,421 9,663
OTHER LIABILITIES AND DEFERRED CREDITS    
Asset retirement obligations 2,051 1,986
Deferred income taxes 9,436 9,261
Regulatory liabilities:    
Accrued asset removal costs 1,901 1,904
Asset retirement obligation regulatory expense difference 2,244 2,257
Other 507 476
Derivatives 544 466
Deferral related to differential membership interests - VIEs 2,582 2,704
Other 1,679 1,677
Total other liabilities and deferred credits $ 20,944 $ 20,731
COMMITMENTS AND CONTINGENCIES    
TOTAL CAPITALIZATION AND LIABILITIES $ 77,201 $ 74,929
FPL [Member]    
ELECTRIC UTILITY PLANT    
Plant in service and other property 39,927 39,027
Nuclear fuel 1,240 1,217
Construction work in progress 2,309 1,694
Less accumulated depreciation and amortization (11,641) (11,282)
Total electric utility plant - net 31,835 30,656
CURRENT ASSETS    
Cash and cash equivalents 38 14
Customer receivables, net of allowances 938 773
Other receivables 105 136
Materials, supplies and fossil fuel inventory 873 848
Regulatory assets:    
Deferred clause and franchise expenses 176 268
Derivatives 220 364
Other 114 111
Other 232 120
Total current assets 2,696 2,634
OTHER ASSETS    
Special use funds 3,544 3,524
Prepaid benefit costs 1,216 1,189
Regulatory assets:    
Securitized storm-recovery costs ($155 and $180 related to a VIE, respectively) 254 294
Other 473 468
Other 271 542
Total other assets 5,758 6,017
TOTAL ASSETS 40,289 39,307
CAPITALIZATION    
Common stock 1,373 1,373
Additional paid-in capital 6,828 6,279
Retained earnings 6,294 5,499
Total equity 14,495 13,151
Long-term debt 9,467 9,413
Total capitalization 23,962 22,564
CURRENT LIABILITIES    
Commercial paper 194 1,142
Current maturities of long-term debt 62 60
Accounts payable 727 647
Customer deposits 462 458
Accrued interest and taxes 830 245
Regulatory liabilities:    
Derivatives 225 370
Accrued construction-related expenditures 175 233
Other 257 331
Total current liabilities 2,932 3,486
OTHER LIABILITIES AND DEFERRED CREDITS    
Asset retirement obligations 1,392 1,355
Deferred income taxes 6,954 6,835
Regulatory liabilities:    
Accrued asset removal costs 1,894 1,898
Asset retirement obligation regulatory expense difference 2,244 2,257
Other 505 476
Other 406 436
Total other liabilities and deferred credits $ 13,395 $ 13,257
COMMITMENTS AND CONTINGENCIES    
TOTAL CAPITALIZATION AND LIABILITIES $ 40,289 $ 39,307