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Fair Value Measurements - Fair Value, Nature and Risk of Investments (Details) (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Foreign equity fund [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 $ 131,000,000 $ 117,000,000
Unfunded Commitments 0 0
Redemption Frequency Monthly Monthly
Redemption Notice Period 5 days 5 days
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 8,000,000 9,000,000
Unfunded Commitments 0 0
Redemption Frequency Daily Daily
Redemption Notice Period Not applicable  Not applicable 
Equity - 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 65,000,000 55,000,000
Unfunded Commitments 0 0
Redemption Frequency Daily/Monthly Daily/Monthly
Redemption Notice Period Daily/7 days  Daily/7 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 24,000,000 10,000,000
Unfunded Commitments 0 0
Redemption Frequency Daily Daily
Redemption Notice Period Not applicable  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 110,000,000 96,000,000
Unfunded Commitments 0 0
Redemption Frequency Daily Daily
Redemption Notice Period 15 days  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 491,000,000 384,000,000
Unfunded Commitments 0 0
Redemption Frequency Daily Daily
Redemption Notice Period Not applicable  Not applicable 
Maximum [Member] | Foreign equity fund [Member]
   
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments    
Redemption Notice Period 5 days 5 days
Maximum [Member] | Equity - 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    
Redemption Notice Period 7 days 7 days
Maximum [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    
Redemption Notice Period 15 days 15 days
Alabama Power [Member] | Equity - 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 65,000,000 55,000,000
Unfunded Commitments 0 0
Redemption Frequency Daily/Monthly Daily/Monthly
Redemption Notice Period Daily/7 Days Daily/7 days
Redemption Notice Period 7 days 7 days
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 110,000,000 96,000,000
Unfunded Commitments 0 0
Redemption Frequency Daily Daily
Redemption Notice Period 15 days 15 days
Redemption Notice Period 15 days 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 236,000,000  
Redemption Frequency Daily  
Redemption Notice Period Not applicable  
Georgia Power [Member] | Foreign equity fund [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 131,000,000 117,000,000
Unfunded Commitments 0 0
Redemption Frequency Daily Daily
Redemption Notice Period 5 days 5 days
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 8,000,000 9,000,000
Unfunded Commitments 0 0
Redemption Frequency Daily Daily
Redemption Notice Period Not applicable Not applicable
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 24,000,000 10,000,000
Unfunded Commitments 0 0
Redemption Frequency Daily Daily
Redemption Notice Period Not applicable 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   15,000,000
Unfunded Commitments   0
Redemption Frequency   Daily
Redemption Notice Period   Not applicable
Georgia Power [Member] | Maximum [Member] | Foreign equity fund [Member]
   
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments    
Redemption Notice Period 5 days 5 days
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 15,929,000 15,231,000
Unfunded Commitments 0 0
Redemption Frequency Daily Daily
Redemption Notice Period Not applicable 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 125,000,000 125,600,000
Unfunded Commitments 0 0
Redemption Frequency Daily Daily
Redemption Notice Period Not applicable Not applicable
Southern Power [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 68,000,000 26,000,000
Unfunded Commitments $ 0 $ 0
Redemption Frequency Daily Daily
Redemption Notice Period Not applicable Not applicable