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Condensed Parent Company Financial Statements (Details 5) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Condensed Parent Company Financial Statements (Textuals) [Abstract]      
Issuance of new notes and the proceeds used to repay short-term debt $ 397.2 $ 20.3 $ 466.6
Issuance of Junior Notes 251.0 251.8 720.0
Restriction under RCC The RCC provides that we may not redeem, defease or purchase and our subsidiaries may not purchase any Junior Notes on or before May 15, 2037, unless, subject to certain limitations described in the RCC, during the 180 days prior to the date of redemption, defeasance or purchase, we have received a specified amount of proceeds from the sale of qualifying securities.    
Interest paid, net of amounts capitalized 250.4 241.2 234.0
Net refunds from income taxes 39.6 107.0 109.1
Wisconsin Energy Corporation [Member]
     
Condensed Parent Company Financial Statements (Textuals) [Abstract]      
Long-term notes outstanding of WECC 50    
Issuance of new notes and the proceeds used to repay short-term debt 0 0 450.0
Minimum Total Funded Debt to Capitalization Ratio, As a Percent 70.00%    
Interest paid, net of amounts capitalized 44.4 45.2 57.7
Net refunds from income taxes 86.1 128.2 114.6
Wisconsin Electric and Wisconsin Gas [Member]
     
Condensed Parent Company Financial Statements (Textuals) [Abstract]      
Dividends and distributions from subsidiaries 373.0    
We Power [Member]
     
Condensed Parent Company Financial Statements (Textuals) [Abstract]      
Dividends and distributions from subsidiaries $ 347.4    
Notes (unsecured), 6.20% due 2033 [Member]
     
Condensed Parent Company Financial Statements (Textuals) [Abstract]      
Debt instrument interest rate stated percentage rate 6.20% 6.20%  
Junior Notes (unsecured), 6.25% due 2067 [Member]
     
Condensed Parent Company Financial Statements (Textuals) [Abstract]      
Debt instrument interest rate stated percentage rate 6.25% 6.25%