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FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
9 Months Ended
Sep. 30, 2011
Notes To Consolidated Financial Statements [Abstract] 
Fair Value By Balance Sheet Grouping Text Block
  As of September 30, 2011
  NU CL&P PSNH WMECO
  Carrying Fair  Carrying Fair Carrying Fair Carrying Fair
(Millions of Dollars) Amount Value Amount Value Amount Value Amount Value
Preferred Stock Not                       
 Subject to Mandatory                       
 Redemption$ 116.2 $ 102.0 $ 116.2 $ 102.0 $ - $ - $ - $ -
Long-Term Debt  4,950.6   5,512.3   2,587.8   2,977.8   999.5   1,069.3   501.0   535.1
Rate Reduction Bonds  130.4   135.9   -   -   99.4   103.3   31.0   32.6

  As of December 31, 2010
  NU CL&P PSNH WMECO
  Carrying Fair  Carrying Fair Carrying Fair Carrying Fair
(Millions of Dollars) Amount Value Amount Value Amount Value Amount Value
Preferred Stock Not                       
 Subject to Mandatory                       
 Redemption$ 116.2 $ 93.7 $ 116.2 $ 93.7 $ - $ - $ - $ -
Long-Term Debt  4,692.4   5,043.8   2,587.5   2,816.7   837.3   871.4   401.0   417.0
Rate Reduction Bonds  181.6   193.3   -   -   138.2   146.9   43.3   46.4