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CONDENSED CONSOLIDATED BALANCE SHEETS (unaudited) - USD ($)
$ in Millions
Mar. 31, 2019
Dec. 31, 2018
PROPERTY, PLANT AND EQUIPMENT    
Electric plant in service and other property $ 89,106 $ 81,986
Nuclear fuel 1,854 1,740
Construction work in progress 7,198 8,357
Accumulated depreciation and amortization (23,364) (21,749)
Total property, plant and equipment - net 74,794 70,334
CURRENT ASSETS    
Cash and cash equivalents 972 638
Customer receivables, net of allowances 2,191 2,302
Other receivables 783 667
Materials, supplies and fossil fuel inventory 1,410 1,223
Regulatory assets 450 448
Derivatives 474 564
Assets held for sale 1,334 0
Other 608 551
Total current assets 8,222 6,393
OTHER ASSETS    
Special use funds 6,360 5,886
Investment in equity method investees 6,735 6,748
Prepaid benefit costs 1,295 1,284
Regulatory assets 3,760 3,290
Derivatives 1,339 1,355
Goodwill 3,488 891
Other 3,036 7,521
Total other assets 26,013 26,975
TOTAL ASSETS 109,029 103,702
CAPITALIZATION    
Common stock 5 5
Additional paid-in capital 10,515 10,490
Retained earnings 23,919 23,837
Accumulated other comprehensive loss (213) (188)
Total common shareholders' equity 34,226 34,144
Noncontrolling interests 3,614 3,269
Total equity 37,840 37,413
Redeemable noncontrolling interests 71 468
Long-term debt 29,883 26,782
Total capitalization 67,794 64,663
CURRENT LIABILITIES    
Commercial paper 2,301 2,749
Other short-term debt 5,415 5,465
Current portion of long-term debt 2,614 2,716
Accounts payable 2,398 2,386
Customer deposits 484 445
Accrued interest and taxes 619 477
Derivatives 674 675
Accrued construction-related expenditures 709 1,195
Regulatory liabilities 337 325
Liabilities associated with assets held for sale 1,180 0
Other 1,195 1,130
Total current liabilities 17,926 17,563
OTHER LIABILITIES AND DEFERRED CREDITS    
Asset retirement obligations 3,350 3,135
Deferred income taxes 8,050 7,367
Regulatory liabilities 9,734 9,009
Derivatives 616 516
Other 1,559 1,449
Total other liabilities and deferred credits 23,309 21,476
COMMITMENTS AND CONTINGENCIES
TOTAL CAPITALIZATION AND LIABILITIES 109,029 103,702
FPL [Member]    
ELECTRIC UTILITY PLANT AND OTHER PROPERTY    
Plant in service and other property 51,536 49,640
Nuclear fuel 1,262 1,189
Construction work in progress 2,543 3,888
Accumulated depreciation and amortization (13,135) (13,218)
Total electric utility plant and other property - net 42,206 41,499
CURRENT ASSETS    
Cash and cash equivalents 77 112
Customer receivables, net of allowances 993 1,026
Other receivables 326 284
Materials, supplies and fossil fuel inventory 690 670
Regulatory assets 399 447
Other 166 239
Total current assets 2,651 2,778
OTHER ASSETS    
Special use funds 4,367 4,056
Prepaid benefit costs 1,425 1,407
Regulatory assets 2,827 2,843
Goodwill 302 302
Other 546 599
Total other assets 9,467 9,207
TOTAL ASSETS 54,324 53,484
CAPITALIZATION    
Common stock 1,373 1,373
Additional paid-in capital 10,852 10,601
Retained earnings 9,628 9,040
Total equity 21,853 21,014
Long-term debt 12,323 11,688
Total capitalization 34,176 32,702
CURRENT LIABILITIES    
Commercial paper 396 1,256
Current portion of long-term debt 56 95
Accounts payable 698 731
Customer deposits 446 442
Accrued interest and taxes 467 376
Accrued construction-related expenditures 338 323
Regulatory liabilities 293 310
Other 430 543
Total current liabilities 3,124 4,076
OTHER LIABILITIES AND DEFERRED CREDITS    
Asset retirement obligations 2,223 2,147
Deferred income taxes 5,298 5,165
Regulatory liabilities 9,026 8,886
Other 477 508
Total other liabilities and deferred credits 17,024 16,706
COMMITMENTS AND CONTINGENCIES
TOTAL CAPITALIZATION AND LIABILITIES $ 54,324 $ 53,484