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Derivative Instruments and Hedging Activities (Intro) (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2013
MW
Mar. 31, 2012
Dec. 31, 2012
Master Netting Arrangements (Numeric) [Line Items]      
Obligation to return cash collateral obligation under master netting arrangement $ 49   $ 112
Cash collateral posted under master netting arrangements 27   32
Commodity Price Risk (Non-trading) [Line Items]      
Baseload generation fleet capacity (in MW) 7,298    
Intermediate and peaking generation fleet capacity (in MW) 3,316    
Commodity Price Risk (Non-trading) - Cash Flow Hedges (Numeric) [Abstract]      
Net unrealized after-tax gains (losses) expected to be reclassified into earnings within 12 months related to commodity price risk cash flow hedge contracts 99    
No or insignificant amounts previously recorded in AOCI reclassified to earnings related to commodity price risk cash flow hedge contracts insignificant insignificant  
No or immaterial hedge ineffectiveness related to commodity price risk cash flow hedge contracts   insignificant  
Commodity Price Risk (Non-trading) - Economic Activity (Numeric) [Abstract]      
Year of expiration of the maximum maturity date of economic activity derivative contracts 2019    
Unregulated Retail Electric And Gas [Member]
     
Pre-tax Gains (Losses) of Economic Activity - Unregulated Business (Details) [Abstract]      
Pre-tax gain (loss) (8) 10  
Wholesale Energy Marketing [Member]
     
Pre-tax Gains (Losses) of Economic Activity - Unregulated Business (Details) [Abstract]      
Pre-tax gain (loss) (822) 852  
Fuel [Member]
     
Pre-tax Gains (Losses) of Economic Activity - Unregulated Business (Details) [Abstract]      
Pre-tax gain (loss) (1) 2  
Energy Purchases [Member]
     
Pre-tax Gains (Losses) of Economic Activity - Unregulated Business (Details) [Abstract]      
Pre-tax gain (loss) 634 (591)  
PPL Energy Supply LLC [Member]
     
Master Netting Arrangements (Numeric) [Line Items]      
Obligation to return cash collateral obligation under master netting arrangement 49   112
Commodity Price Risk (Non-trading) [Line Items]      
Baseload generation fleet capacity (in MW) 7,298    
Intermediate and peaking generation fleet capacity (in MW) 3,316    
Commodity Price Risk (Non-trading) - Cash Flow Hedges (Numeric) [Abstract]      
Net unrealized after-tax gains (losses) expected to be reclassified into earnings within 12 months related to commodity price risk cash flow hedge contracts 99    
No or insignificant amounts previously recorded in AOCI reclassified to earnings related to commodity price risk cash flow hedge contracts insignificant insignificant  
No or immaterial hedge ineffectiveness related to commodity price risk cash flow hedge contracts   insignificant  
Commodity Price Risk (Non-trading) - Economic Activity (Numeric) [Abstract]      
Year of expiration of the maximum maturity date of economic activity derivative contracts 2019    
PPL Energy Supply LLC [Member] | Unregulated Retail Electric And Gas [Member]
     
Pre-tax Gains (Losses) of Economic Activity - Unregulated Business (Details) [Abstract]      
Pre-tax gain (loss) (8) 10  
PPL Energy Supply LLC [Member] | Wholesale Energy Marketing [Member]
     
Pre-tax Gains (Losses) of Economic Activity - Unregulated Business (Details) [Abstract]      
Pre-tax gain (loss) (822) 852  
PPL Energy Supply LLC [Member] | Fuel [Member]
     
Pre-tax Gains (Losses) of Economic Activity - Unregulated Business (Details) [Abstract]      
Pre-tax gain (loss) (1) 2  
PPL Energy Supply LLC [Member] | Energy Purchases [Member]
     
Pre-tax Gains (Losses) of Economic Activity - Unregulated Business (Details) [Abstract]      
Pre-tax gain (loss) 634 (591)  
LG And E And KU Energy LLC [Member]
     
Master Netting Arrangements (Numeric) [Line Items]      
Cash collateral posted under master netting arrangements 27   32
Louisville Gas And Electric Co [Member]
     
Master Netting Arrangements (Numeric) [Line Items]      
Cash collateral posted under master netting arrangements $ 27   $ 32