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Supplemental Guarantor Information (Details 2) (USD $)
3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Sep. 30, 2010
Consolidated Statements of Cash Flows [Abstract]    
NET CASH PROVIDED FROM (USED FOR) OPERATING ACTIVITIES  $ 2,229,000,000$ 2,073,000,000
New Financing-    
Long-term debt  603,000,000251,000,000
Redemptions and Repayments-    
Long-term debt  (1,581,000,000)(422,000,000)
Short-term borrowings, net  (700,000,000)(171,000,000)
Common stock dividend payments  (651,000,000)(503,000,000)
Other  73,000,00025,000,000
Net cash provided from (used for) financing activities  (2,402,000,000)(870,000,000)
CASH FLOWS FROM INVESTING ACTIVITIES:    
Property additions(512,000,000)(471,000,000)(1,529,000,000)(1,467,000,000)
Proceeds from asset sales  519,000,000117,000,000
Sales of investment securities held in trusts  3,678,000,0002,577,000,000
Purchases of investment securities held in trusts  (3,801,000,000)(2,610,000,000)
Customer acquisition costs  (2,000,000)(110,000,000)
Other  (61,000,000)(8,000,000)
Net cash provided from (used for) investing activities  (555,000,000)(1,445,000,000)
Net change in cash and cash equivalents  (728,000,000)(242,000,000)
Cash and cash equivalents at beginning of period  1,019,000,000874,000,000
Cash and cash equivalents at end of period291,000,000632,000,000291,000,000632,000,000
FES Corp
    
Consolidated Statements of Cash Flows [Abstract]    
NET CASH PROVIDED FROM (USED FOR) OPERATING ACTIVITIES  (367,000,000)(289,000,000)
New Financing-    
Long-term debt  00
Short-term borrowings, net  750,000,000 
Redemptions and Repayments-    
Long-term debt  (136,000,000)(1,000,000)
Short-term borrowings, net  0 
Other  (8,000,000)(1,000,000)
Net cash provided from (used for) financing activities  606,000,000(2,000,000)
CASH FLOWS FROM INVESTING ACTIVITIES:    
Property additions  (8,000,000)(5,000,000)
Proceeds from asset sales  9,000,0000
Sales of investment securities held in trusts  00
Purchases of investment securities held in trusts  00
Loans to affiliated companies, net  (228,000,000)406,000,000
Customer acquisition costs  (2,000,000)(110,000,000)
Leasehold improvement payments to (from) associated companies   0
Other  (10,000,000)0
Net cash provided from (used for) investing activities  (239,000,000)291,000,000
Net change in cash and cash equivalents  00
Cash and cash equivalents at beginning of period  00
Cash and cash equivalents at end of period0000
FGCO
    
Consolidated Statements of Cash Flows [Abstract]    
NET CASH PROVIDED FROM (USED FOR) OPERATING ACTIVITIES  539,000,000402,000,000
New Financing-    
Long-term debt  140,000,000250,000,000
Short-term borrowings, net  59,000,000 
Redemptions and Repayments-    
Long-term debt  (351,000,000)(261,000,000)
Short-term borrowings, net  0 
Other  (1,000,000)0
Net cash provided from (used for) financing activities  (153,000,000)(11,000,000)
CASH FLOWS FROM INVESTING ACTIVITIES:    
Property additions  (143,000,000)(417,000,000)
Proceeds from asset sales  510,000,000117,000,000
Sales of investment securities held in trusts  00
Purchases of investment securities held in trusts  00
Loans to affiliated companies, net  (732,000,000)(89,000,000)
Customer acquisition costs  00
Leasehold improvement payments to (from) associated companies   0
Other  (24,000,000)(2,000,000)
Net cash provided from (used for) investing activities  (389,000,000)(391,000,000)
Net change in cash and cash equivalents  (3,000,000)0
Cash and cash equivalents at beginning of period  9,000,0000
Cash and cash equivalents at end of period6,000,00006,000,0000
Nuclear Generation Corp
    
Consolidated Statements of Cash Flows [Abstract]    
NET CASH PROVIDED FROM (USED FOR) OPERATING ACTIVITIES  374,000,000520,000,000
New Financing-    
Long-term debt  107,000,0000
Short-term borrowings, net  25,000,000 
Redemptions and Repayments-    
Long-term debt  (313,000,000)(43,000,000)
Short-term borrowings, net  0 
Other  (2,000,000)0
Net cash provided from (used for) financing activities  (183,000,000)(43,000,000)
CASH FLOWS FROM INVESTING ACTIVITIES:    
Property additions  (322,000,000)(379,000,000)
Proceeds from asset sales  00
Sales of investment securities held in trusts  1,613,000,0001,478,000,000
Purchases of investment securities held in trusts  (1,654,000,000)(1,511,000,000)
Loans to affiliated companies, net  172,000,000(14,000,000)
Customer acquisition costs  00
Leasehold improvement payments to (from) associated companies   (51,000,000)
Other  00
Net cash provided from (used for) investing activities  (191,000,000)(477,000,000)
Net change in cash and cash equivalents  00
Cash and cash equivalents at beginning of period  00
Cash and cash equivalents at end of period0000
Eliminations
    
Consolidated Statements of Cash Flows [Abstract]    
NET CASH PROVIDED FROM (USED FOR) OPERATING ACTIVITIES  (9,000,000)(9,000,000)
New Financing-    
Long-term debt  00
Short-term borrowings, net  (834,000,000) 
Redemptions and Repayments-    
Long-term debt  9,000,0009,000,000
Short-term borrowings, net  12,000,000 
Other  1,000,0000
Net cash provided from (used for) financing activities  (836,000,000)9,000,000
CASH FLOWS FROM INVESTING ACTIVITIES:    
Property additions  00
Proceeds from asset sales  00
Sales of investment securities held in trusts  00
Purchases of investment securities held in trusts  00
Loans to affiliated companies, net  845,000,0000
Customer acquisition costs  00
Leasehold improvement payments to (from) associated companies   0
Other  00
Net cash provided from (used for) investing activities  845,000,0000
Net change in cash and cash equivalents  00
Cash and cash equivalents at beginning of period  00
Cash and cash equivalents at end of period0000
FES
    
Consolidated Statements of Cash Flows [Abstract]    
NET CASH PROVIDED FROM (USED FOR) OPERATING ACTIVITIES  537,000,000624,000,000
New Financing-    
Long-term debt  247,000,000250,000,000
Short-term borrowings, net  0 
Redemptions and Repayments-    
Long-term debt  (791,000,000)(296,000,000)
Short-term borrowings, net  (12,000,000)0
Other  10,000,0001,000,000
Net cash provided from (used for) financing activities  (566,000,000)(47,000,000)
CASH FLOWS FROM INVESTING ACTIVITIES:    
Property additions  (473,000,000)(801,000,000)
Proceeds from asset sales  519,000,000117,000,000
Sales of investment securities held in trusts  1,613,000,0001,478,000,000
Purchases of investment securities held in trusts  (1,654,000,000)(1,511,000,000)
Loans to affiliated companies, net  57,000,000303,000,000
Customer acquisition costs  (2,000,000)(110,000,000)
Leasehold improvement payments to (from) associated companies  0(51,000,000)
Other  (34,000,000)(2,000,000)
Net cash provided from (used for) investing activities  26,000,000(577,000,000)
Net change in cash and cash equivalents  (3,000,000)0
Cash and cash equivalents at beginning of period  9,000,0000
Cash and cash equivalents at end of period$ 6,000,000$ 0$ 6,000,000$ 0