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Revolving Credit Facilities, Lines Of Credit, Short-Term Borrowings, And Long-Term Debt (Issuance Of Commercial Paper To Finance Acquisition And Ownership Of Nuclear Fuel) (Details)
$ in Millions
6 Months Ended
Jun. 30, 2020
USD ($)
Issuance of commercial paper to finance the acquisition and ownership of nuclear fuel  
Amount Drawn/ Outstanding $ 160.0
Entergy Arkansas VIE [Member]  
Issuance of commercial paper to finance the acquisition and ownership of nuclear fuel  
Expiration Date Sep. 16, 2021
Amount of Facility $ 80.0
Line of Credit Facility, Interest Rate During Period 2.14%
Amount Drawn/ Outstanding $ 23.7
Line of credit facility commitment fee as a percentage of undrawn commitment amount 0.10%
System Energy VIE [Member]  
Issuance of commercial paper to finance the acquisition and ownership of nuclear fuel  
Expiration Date Sep. 16, 2021
Amount of Facility $ 120.0
Line of Credit Facility, Interest Rate During Period 1.91%
Amount Drawn/ Outstanding $ 80.1
Line of credit facility commitment fee as a percentage of undrawn commitment amount 0.10%
Entergy Louisiana River Bend VIE [Member]  
Issuance of commercial paper to finance the acquisition and ownership of nuclear fuel  
Expiration Date Sep. 16, 2021
Amount of Facility $ 105.0
Line of Credit Facility, Interest Rate During Period 2.19%
Amount Drawn/ Outstanding $ 44.1
Line of credit facility commitment fee as a percentage of undrawn commitment amount 0.10%
Entergy Louisiana Waterford VIE [Member]  
Issuance of commercial paper to finance the acquisition and ownership of nuclear fuel  
Expiration Date Sep. 16, 2021
Amount of Facility $ 105.0
Line of Credit Facility, Interest Rate During Period 2.31%
Amount Drawn/ Outstanding $ 16.2
Line of credit facility commitment fee as a percentage of undrawn commitment amount 0.10%