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CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Millions
Dec. 31, 2024
Dec. 31, 2023
Current assets:    
Cash and cash equivalents $ 1,487 $ 2,690
Customer receivables, net 3,336 3,609
Other receivables 1,180 944
Materials, supplies and fuel inventory 2,214 2,106
Regulatory assets 1,417 1,460
Derivatives 879 1,730
Contract assets 252 1,487
Other 1,186 1,335
Total current assets 11,951 15,361
Other assets:    
Property, plant and equipment – net 138,852 125,776
Special use funds 9,800 8,698
Investment in equity method investees 6,118 6,156
Prepaid benefit costs 2,496 2,112
Regulatory assets 4,828 4,801
Derivatives 1,774 1,790
Goodwill 4,866 5,091
Other 9,459 7,704
Total other assets 178,193 162,128
TOTAL ASSETS 190,144 177,489
Current liabilities:    
Commercial paper 1,670 4,650
Other short-term debt 217 255
Current portion of long-term debt 8,061 6,901
Accounts payable 6,982 8,504
Customer deposits 694 638
Accrued interest and taxes 1,016 970
Derivatives 1,073 845
Accrued construction-related expenditures 2,346 1,861
Regulatory liabilities 279 340
Other 3,017 2,999
Total current liabilities 25,355 27,963
Other liabilities and deferred credits:    
Long-term debt 72,385 61,405
Asset retirement obligations 3,671 3,403
Deferred income taxes 11,749 10,142
Regulatory liabilities 10,635 10,049
Derivatives 2,008 2,741
Other 3,480 2,762
Total other liabilities and deferred credits 103,928 90,502
TOTAL LIABILITIES 129,283 118,465
COMMITMENTS AND CONTINGENCIES
REDEEMABLE NONCONTROLLING INTERESTS – VIEs 401 1,256
EQUITY    
Common stock 21 21
Additional paid-in capital 17,260 17,365
Retained earnings 32,946 30,235
Accumulated other comprehensive loss (126) (153)
Total common shareholders' equity 50,101 47,468
Noncontrolling interests 10,359 10,300
TOTAL EQUITY 60,460 57,768
TOTAL LIABILITIES, REDEEMABLE NONCONTROLLING INTERESTS AND EQUITY 190,144 177,489
FPL [Member]    
Current assets:    
Cash and cash equivalents 32 57
Customer receivables, net 1,400 1,706
Other receivables 380 319
Materials, supplies and fuel inventory 1,309 1,339
Regulatory assets 1,405 1,431
Derivatives 31 13
Other 257 144
Total current assets 4,783 4,996
Other assets:    
Electric utility plant and other property – net 76,166 70,608
Special use funds 6,875 6,050
Prepaid benefit costs 1,954 1,853
Regulatory assets 4,464 4,343
Derivatives 9 14
Goodwill 2,965 2,965
Other 934 654
Total other assets 93,358 86,473
TOTAL ASSETS 98,141 91,469
Current liabilities:    
Commercial paper 1,430 2,374
Other short-term debt 0 255
Current portion of long-term debt 1,719 1,665
Accounts payable 996 977
Customer deposits 669 610
Accrued interest and taxes 443 661
Derivatives 3 9
Accrued construction-related expenditures 860 486
Regulatory liabilities 273 335
Other 1,105 713
Total current liabilities 7,495 8,076
Other liabilities and deferred credits:    
Long-term debt 25,026 23,609
Asset retirement obligations 2,276 2,143
Deferred income taxes 9,438 8,542
Regulatory liabilities 10,465 9,893
Derivatives 4 6
Other 365 371
Total other liabilities and deferred credits 47,570 44,558
TOTAL LIABILITIES 55,065 52,634
COMMITMENTS AND CONTINGENCIES
EQUITY    
Common stock 1,373 1,373
Additional paid-in capital 26,868 23,470
Retained earnings 14,835 13,992
TOTAL EQUITY 43,076 38,835
TOTAL LIABILITIES, REDEEMABLE NONCONTROLLING INTERESTS AND EQUITY $ 98,141 $ 91,469