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Guarantees (Tables)
12 Months Ended
Dec. 31, 2018
Guarantees [Abstract]  
Summary of NRG's estimated guarantees, indemnity, and other contingent liability
The following table summarizes the maximum potential exposures that can be estimated for NRG's guarantees, indemnities, and other contingent liabilities by maturity:
 
By Remaining Maturity at December 31,
 
2018
 
 
Guarantees
Under
1 Year
 
1-3 Years
 
3-5 Years
 
Over
5 Years
 
Total
 
2017 Total
 
(In millions)
Letters of credit and surety bonds(a)(b)
$
1,138


$
79


$


$
36


$
1,253


$
1,003

Asset sales guarantee obligations


4


257


532


793


312

Other guarantees


105




616


721


645

Total guarantees
$
1,138


$
188


$
257


$
1,184


$
2,767


$
1,960


(a)
As of December 31, 2017 excludes $92 million of letters of credit issued under the intercompany revolving credit agreement between NRG and GenOn
(b)
December 31, 2018 includes $32 million of letter of credit and surety bonds for the benefit of GenOn where NRG holds cash or letter of credit to back stop the liability