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Debt (Tables)
12 Months Ended
Dec. 31, 2012
Debt Tables [Abstract]  
Debt In Default Table
   Primary Nature  December 31, 2012
 Subsidiary of Default Default Net Assets
          
     (in millions)
 Maritza(1) Covenant $ 872 $ 578
 Sonel Covenant   294   379
 Kavarna Covenant   209   79
 Saurashtra Covenant   25   15
 Total   $ 1,400   
Carrying Amount And Terms Of Non-Recourse Debt
  Weighted Average   December 31,
NON-RECOURSE DEBT  Interest  Rate Maturity 2012 2011
            
       (in millions)
VARIABLE RATE:(1)          
Bank loans 3.44% 2013 - 2030 $ 3,532 $ 3,430
Notes and bonds 8.08% 2013 - 2040   1,887   2,178
Debt to (or guaranteed by) multilateral,           
 export credit agencies or development banks(2) 3.43% 2013 - 2027   2,129   1,989
Other  5.33% 2013 - 2042   357   321
FIXED RATE:          
Bank loans 8.76% 2013 - 2023   231   412
Notes and bonds  6.36% 2013 - 2061   6,448   6,487
Debt to (or guaranteed by) multilateral,           
 export credit agencies or development banks(3) 6.51% 2013 - 2027   616   513
Other  8.16% 2013 - 2039   211   205
SUBTOTAL      $ 15,411(4) $ 15,535(4)
Less: Current maturities        (2,843)   (2,123)
TOTAL      $ 12,568 $ 13,412
Schedule For Maturity For Non-Recourse Debt
    Annual
 December 31, Maturities
    (in millions)
 2013. $ 2,843
 2014.   1,416
 2015.   765
 2016.   2,374
 2017.   699
 Thereafter   7,314
 Total non-recourse debt $ 15,411