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Fair Value Measurements - Fair Value Measurements Calculated at Net Asset Value Per Share (Details) (USD $)
6 Months Ended
Jun. 30, 2013
Foreign Equity [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value $ 115,000,000
Unfunded Commitments 0
Redemption Frequency Monthly
Redemption Notice Period, Description 5 days
Foreign Equity [Member] | Georgia Power [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 115,000,000
Unfunded Commitments 0
Redemption Frequency Monthly
Redemption Notice Period, Description 5 days
Corporate bonds - commingled funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 6,000,000
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period, Description 1 to 3 days
Corporate bonds - commingled funds [Member] | Georgia Power [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 6,000,000
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period, Description Not applicable
Equity - commingled funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 56,000,000
Unfunded Commitments 0
Redemption Frequency Daily/Monthly
Redemption Notice Period, Description Daily/7 days
Equity - commingled funds [Member] | Alabama Power [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 56,000,000
Unfunded Commitments 0
Redemption Frequency Daily/Monthly
Redemption Notice Period, Description Daily/7 days
Other - commingled funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 21,000,000
Unfunded Commitments 0
Redemption Frequency Daily/Monthly
Redemption Notice Period, Description Daily/7 days
Other - commingled funds [Member] | Georgia Power [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 21,000,000
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period, Description Not applicable
Trust owned life insurance [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 0
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period, Description 15 days
Trust owned life insurance [Member] | Alabama Power [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 99,000,000
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period, Description 15 days
Money market funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 159,000,000
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period, Description Not applicable
Money market funds [Member] | Gulf Power [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 16,000,000
Unfunded Commitments 0
Redemption Frequency Daily
Redemption Notice Period, Description Not applicable
Money market funds [Member] | Mississippi Power [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Fair Value 99,000,000
Unfunded Commitments $ 0
Redemption Frequency Daily
Redemption Notice Period, Description Not applicable
Minimum [Member] | Corporate bonds - commingled funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Redemption Notice Period 1 day
Maximum [Member] | Foreign Equity [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Redemption Notice Period 5 days
Maximum [Member] | Foreign Equity [Member] | Georgia Power [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Redemption Notice Period 5 days
Maximum [Member] | Corporate bonds - commingled funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Redemption Notice Period 3 days
Maximum [Member] | Equity - commingled funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Redemption Notice Period 7 days
Maximum [Member] | Equity - commingled funds [Member] | Alabama Power [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Redemption Notice Period 7 days
Maximum [Member] | Other - commingled funds [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Redemption Notice Period 7 days
Maximum [Member] | Trust owned life insurance [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Redemption Notice Period 15 days
Maximum [Member] | Trust owned life insurance [Member] | Alabama Power [Member]
 
Fair value measurements of investments calculated at net asset value per share as well as the nature and risk of those investments  
Redemption Notice Period 15 days