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Debt (Tables)
6 Months Ended
Jun. 30, 2011
Debt [Abstract]  
Long-term debt issuances and borrowings
As of June 30, 2011, long-term debt issuances and borrowings by subsidiaries of NextEra Energy during 2011 were as follows:

Date Issued
 
Company
 
Debt Issuances/Borrowings
 
Interest
Rate
 
Principal
Amount
 
Maturity
Date
               
(millions)
   
                     
January - April 2011
 
NextEra Energy Resources subsidiary
 
Canadian revolving credit facilities
 
Variable
(a)
$
135
 
2013
February 2011
 
NextEra Energy Resources subsidiary
 
Senior secured limited recourse notes
 
6.25%
 
$
82
 
2031
April - June 2011
 
NextEra Energy Resources subsidiaries
 
Euro denominated senior secured limited-recourse loan
 
Variable
(a)(b)
$
181
 
2030
April - June 2011
 
NextEra Energy Resources subsidiaries
 
Euro denominated senior secured limited-recourse loan
 
Variable
(a)
$
16
 
2015
June 2011
 
NextEra Energy Resources subsidiary
 
Euro denominated revolving loan
 
Variable
(a)
$
7
 
2014
June 2011
 
FPL
 
First mortgage bonds
 
5.125%
 
$
250
 
2041
June 2011
 
Capital Holdings
 
Debentures
 
4.50%
 
$
400
 
2021
June 2011
 
Capital Holdings
 
Japanese yen denominated term loan
 
Variable
(a)(c)
$
424
 
2014
¾¾¾¾¾¾¾¾¾¾
(a)  
Variable rate is based on an underlying index plus a margin.
(b)  
Interest rate swap agreements were entered into with respect to these issuances.
(c)  
Cross currency basis swap agreements were entered into with respect to both interest and principal payments on this loan.