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CONDENSED CONSOLIDATED BALANCE SHEETS (unaudited) (USD $)
In Millions, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
PROPERTY, PLANT AND EQUIPMENT    
Electric plant in service and other property $ 65,005 $ 62,699
Nuclear fuel 2,062 2,059
Construction work in progress 4,366 4,690
Less accumulated depreciation and amortization (17,402) (16,728)
Total property, plant and equipment - net ($5,027 and $5,127 related to VIEs, respectively) 54,031 52,720
CURRENT ASSETS    
Cash and cash equivalents 622 438
Customer receivables, net of allowances 1,978 1,777
Other receivables 314 512
Materials, supplies and fossil fuel inventory 1,178 1,153
Regulatory assets:    
Deferred clause and franchise expenses 221 192
Other 117 116
Derivatives 577 498
Deferred income taxes 395 753
Other 697 403
Total current assets 6,099 5,842
OTHER ASSETS    
Special use funds 5,034 4,780
Other investments 1,262 1,121
Prepaid benefit costs 1,496 1,456
Regulatory assets:    
Securitized storm-recovery costs ($207 and $228 related to a VIE, respectively) 337 372
Other 518 426
Derivatives 894 1,163
Other 1,919 1,426
Total other assets 11,460 10,744
TOTAL ASSETS 71,590 69,306
CAPITALIZATION    
Common stock 4 4
Additional paid-in capital 6,506 6,411
Retained earnings 11,860 11,569
Accumulated other comprehensive income 59 56
Total common shareholder's equity 18,429 18,040
Long-term debt 25,049 23,969
Total capitalization 43,478 42,009
CURRENT LIABILITIES    
Commercial paper 1,116 691
Short-term Debt 500 0
Current maturities of long-term debt 3,285 3,766
Accounts payable 1,475 1,200
Customer deposits 452 452
Accrued interest and taxes 694 473
Derivatives 686 838
Accrued construction-related expenditures 715 839
Other 767 930
Total current liabilities 9,690 9,189
OTHER LIABILITIES AND DEFERRED CREDITS    
Asset retirement obligations 1,905 1,850
Deferred income taxes 8,227 8,144
Regulatory liabilities:    
Accrued asset removal costs 1,731 1,839
Asset retirement obligation regulatory expense difference 2,200 2,082
Other 493 462
Derivatives 561 473
Deferral related to differential membership interests - VIEs 1,871 2,001
Other 1,434 1,257
Total other liabilities and deferred credits 18,422 18,108
COMMITMENTS AND CONTINGENCIES      
TOTAL CAPITALIZATION AND LIABILITIES 71,590 69,306
FPL [Member]
   
ELECTRIC UTILITY PLANT    
Plant in service and other property 38,566 36,838
Nuclear fuel 1,267 1,240
Construction work in progress 1,269 1,818
Less accumulated depreciation and amortization (11,226) (10,944)
Total electric utility plant - net 29,876 28,952
CURRENT ASSETS    
Cash and cash equivalents 58 19
Customer receivables, net of allowances 904 757
Other receivables 130 137
Materials, supplies and fossil fuel inventory 774 742
Regulatory assets:    
Deferred clause and franchise expenses 221 192
Other 109 105
Other 186 261
Total current assets 2,382 2,213
OTHER ASSETS    
Special use funds 3,434 3,273
Prepaid benefit costs 1,166 1,142
Regulatory assets:    
Securitized storm-recovery costs ($207 and $228 related to a VIE, respectively) 337 372
Other 484 396
Other 203 140
Total other assets 5,624 5,323
TOTAL ASSETS 37,882 36,488
CAPITALIZATION    
Common stock 1,373 1,373
Additional paid-in capital 6,279 6,179
Retained earnings 5,802 5,532
Total common shareholder's equity 13,454 13,084
Long-term debt 8,942 8,473
Total capitalization 22,396 21,557
CURRENT LIABILITIES    
Commercial paper 451 204
Current maturities of long-term debt 58 356
Accounts payable 743 611
Customer deposits 448 447
Accrued interest and taxes 571 272
Accrued construction-related expenditures 176 202
Other 382 438
Total current liabilities 2,829 2,530
OTHER LIABILITIES AND DEFERRED CREDITS    
Asset retirement obligations 1,319 1,285
Deferred income taxes 6,534 6,355
Regulatory liabilities:    
Accrued asset removal costs 1,731 1,839
Asset retirement obligation regulatory expense difference 2,200 2,082
Other 422 386
Other 451 454
Total other liabilities and deferred credits 12,657 12,401
COMMITMENTS AND CONTINGENCIES      
TOTAL CAPITALIZATION AND LIABILITIES $ 37,882 $ 36,488