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Revolving Credit Facilities, Lines of Credit and Short-Term Borrowings and Long-Term Debt (Details 1) (USD $)
In Millions, unless otherwise specified
Jun. 30, 2011
Issuance of commercial paper to finance the acquisition and ownership of nuclear fuel  
Amount Drawn/ Outstanding $ 1,895.0
Entergy Arkansas VIE [Member]
 
Issuance of commercial paper to finance the acquisition and ownership of nuclear fuel  
Expiration Date July 2013
Amount of Facility 85
Weighted Average Interest Rate on Borrowings 2.34%
Amount Drawn/ Outstanding 37.6
Entergy Gulf States Louisiana VIE [Member]
 
Issuance of commercial paper to finance the acquisition and ownership of nuclear fuel  
Expiration Date July 2013
Amount of Facility 85
Weighted Average Interest Rate on Borrowings 2.13%
Amount Drawn/ Outstanding 56.3
Entergy Louisiana VIE [Member]
 
Issuance of commercial paper to finance the acquisition and ownership of nuclear fuel  
Expiration Date July 2013
Amount of Facility 90
Weighted Average Interest Rate on Borrowings 2.28%
Amount Drawn/ Outstanding 64.2
System Energy VIE [Member]
 
Issuance of commercial paper to finance the acquisition and ownership of nuclear fuel  
Expiration Date July 2013
Amount of Facility 100
Weighted Average Interest Rate on Borrowings 2.28%
Amount Drawn/ Outstanding $ 0.5