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Fair Value Measurements (Details 1) (USD $)
In Millions
Jun. 30, 2011
Alabama Power [Member] | Trust owned life insurance [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value $ 90
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period 15 days
Alabama Power [Member] | Money market funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 41
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period Not applicable
Georgia Power [Member] | Corporate bonds - commingled funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 82
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period 1 to 3 days
Georgia Power [Member] | Other - commingled funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 40
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period Not applicable
Georgia Power [Member] | Money market funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 8
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period Not applicable
Gulf Power [Member] | Money market funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 14
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period Not applicable
Mississippi Power [Member] | Money market funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 48
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period Not applicable
Corporate bonds - commingled funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 82
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period 1 to 3 days
Other - commingled funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 40
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period Not applicable
Trust owned life insurance [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 90
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period 15 days
Money market funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 254
Unfunded Commitments $ 0
Redemption Frequency Daily
Redemption Notice Period Not applicable