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Fair Value of Financial Assets and Liabilities Non-Derivative Fair Value Measurements (Details) - USD ($)
$ in Millions
3 Months Ended 12 Months Ended
Mar. 31, 2020
Dec. 31, 2019
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Unrealized Gain on Securities $ 454.0 $ 705.5
Unrealized Loss on Securities 88.0 5.9
Nuclear Decommissioning Fund [Abstract]    
Miscellaneous investments 54.0 55.6
Final Contractual Maturity [Abstract]    
Due in 1 Year or Less 11.3  
Due in 1 to 5 Years 81.2  
Due in 5 to 10 Years 205.0  
Due after 10 Years 203.9  
Total 501.4  
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Cost    
Nuclear Decommissioning Fund [Abstract]    
Total 1,776.2 [1] 1,740.0 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Cost | Cash equivalents    
Nuclear Decommissioning Fund [Abstract]    
Cash equivalents 70.5 [1] 33.4 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Cost | Commingled Funds [Member]    
Nuclear Decommissioning Fund [Abstract]    
Commingled funds 755.8 [1] 732.8 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Cost | Debt Securities [Member]    
Nuclear Decommissioning Fund [Abstract]    
Debt securities 514.4 [1] 489.2 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Cost | Equity Securities [Member]    
Nuclear Decommissioning Fund [Abstract]    
Equity securities 435.5 [1] 484.6 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value    
Nuclear Decommissioning Fund [Abstract]    
NAV 843.0 [1] 934.9 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Cash equivalents    
Nuclear Decommissioning Fund [Abstract]    
Cash equivalents 70.5 [1] 33.4 [2]
NAV 0.0 [1] 0.0 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Commingled Funds [Member]    
Nuclear Decommissioning Fund [Abstract]    
Commingled funds 843.0 [1] 934.9 [2]
NAV 843.0 [1] 934.9 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Debt Securities [Member]    
Nuclear Decommissioning Fund [Abstract]    
Debt securities 501.4 [1] 507.9 [2]
NAV 0.0 [1] 0.0 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Equity Securities [Member]    
Nuclear Decommissioning Fund [Abstract]    
Equity securities 727.3 [1] 963.4 [2]
NAV 0.0 [1] 0.0 [2]
Total 2,142.2 [1] 2,439.6 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 1    
Nuclear Decommissioning Fund [Abstract]    
Total 796.7 [1] 995.4 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 1 | Cash equivalents    
Nuclear Decommissioning Fund [Abstract]    
Cash equivalents 70.5 [1] 33.4 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 1 | Commingled Funds [Member]    
Nuclear Decommissioning Fund [Abstract]    
Commingled funds 0.0 [1] 0.0 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 1 | Debt Securities [Member]    
Nuclear Decommissioning Fund [Abstract]    
Debt securities 0.0 [1] 0.0 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 1 | Equity Securities [Member]    
Nuclear Decommissioning Fund [Abstract]    
Equity securities 726.2 [1] 962.0 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 2    
Nuclear Decommissioning Fund [Abstract]    
Total 489.3 [1] 496.6 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 2 | Cash equivalents    
Nuclear Decommissioning Fund [Abstract]    
Cash equivalents 0.0 [1] 0.0 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 2 | Commingled Funds [Member]    
Nuclear Decommissioning Fund [Abstract]    
Commingled funds 0.0 [1] 0.0 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 2 | Debt Securities [Member]    
Nuclear Decommissioning Fund [Abstract]    
Debt securities 488.2 [1] 495.2 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 2 | Equity Securities [Member]    
Nuclear Decommissioning Fund [Abstract]    
Equity securities 1.1 [1] 1.4 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 3    
Nuclear Decommissioning Fund [Abstract]    
Total 13.2 [1] 12.7 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 3 | Cash equivalents    
Nuclear Decommissioning Fund [Abstract]    
Cash equivalents 0.0 [1] 0.0 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 3 | Commingled Funds [Member]    
Nuclear Decommissioning Fund [Abstract]    
Commingled funds 0.0 [1] 0.0 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 3 | Debt Securities [Member]    
Nuclear Decommissioning Fund [Abstract]    
Debt securities 13.2 [1] 12.7 [2]
Nuclear Decommissioning Fund | Fair Value Measured on a Recurring Basis | Fair Value | Level 3 | Equity Securities [Member]    
Nuclear Decommissioning Fund [Abstract]    
Equity securities $ 0.0 [1] $ 0.0 [2]
[1]
Reported in nuclear decommissioning fund and other investments on the consolidated balance sheet, which also includes $54.0 million of rabbi trust assets and miscellaneous investments.
[2]
Reported in nuclear decommissioning fund and other investments on the consolidated balance sheet, which also includes $55.6 million of rabbi trust assets and miscellaneous investments.