0000040545-09-000016.txt : 20120723 0000040545-09-000016.hdr.sgml : 20120723 ACCESSION NUMBER: 0000040545-09-000016 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 14 CONFORMED PERIOD OF REPORT: 20090302 ITEM INFORMATION: Other Events ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20090302 DATE AS OF CHANGE: 20090302 FILER: COMPANY DATA: COMPANY CONFORMED NAME: GENERAL ELECTRIC CO CENTRAL INDEX KEY: 0000040545 STANDARD INDUSTRIAL CLASSIFICATION: ELECTRONIC & OTHER ELECTRICAL EQUIPMENT (NO COMPUTER EQUIP) [3600] IRS NUMBER: 140689340 STATE OF INCORPORATION: NY FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-00035 FILM NUMBER: 09647479 BUSINESS ADDRESS: STREET 1: 3135 EASTON TURNPIKE STREET 2: W3F CITY: FAIRFIELD STATE: CT ZIP: 06828 BUSINESS PHONE: 203-373-2211 MAIL ADDRESS: STREET 1: 3135 EASTON TURNPIKE STREET 2: W3F CITY: FAIRFIELD STATE: CT ZIP: 06828 8-K 1 frm8k.htm FORM 8-K frm8k.htm

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
 
Washington, D.C. 20549
 
FORM 8-K
 
CURRENT REPORT
Pursuant to Section 13 or 15(d) of The Securities Exchange Act of 1934
 

Date of Report (Date of earliest event reported) March 2, 2009
 
 
General Electric Company
 
 
(Exact name of registrant as specified in its charter)
 
 
New York
 
001-00035
 
14-0689340
(State or other jurisdiction
of incorporation)
 
(Commission
File Number)
 
(IRS Employer
Identification No.)
         
3135 Easton Turnpike, Fairfield, Connecticut
     
06828-0001
(Address of principal executive offices)
     
(Zip Code)
         
Registrant’s telephone number, including area code   (203) 373-2211
 
     
(Former name or former address, if changed since last report.)

 
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions (see General Instructions A.2. below):
 
¨
Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
¨
Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
¨
Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
¨
Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))


 
(1)

 

Item 8.01. Other Events.
 
Exhibit 100 to this Current Report on Form 8-K contains documents formatted in XBRL (eXtensible Business Reporting Language) with information from General Electric Company’s Annual Report on Form 10-K for the year ended December 31, 2008, filed with the Securities and Exchange Commission (SEC) on February 18, 2009. The information includes the (i) Statement of Earnings for the years ended December 31, 2008, 2007 and 2006, (ii) Consolidated Statement of Changes in Shareowners’ Equity for the years ended December 31, 2008, 2007 and 2006, (iii) Statement of Financial Position at December 31, 2008 and 2007, and (iv) Statement of Cash Flows for the years ended December 31, 2008, 2007 and 2006.
 
Users of this data are advised pursuant to Rule 401 of Regulation S-T that the financial information contained in the XBRL-Related Documents is unaudited and these are not the financial statements of General Electric Company as filed with the SEC. The purpose of submitting these XBRL-Related Documents is to test the related format and technology and, as a result, investors should not rely on the information in this Current Report on Form 8-K, including Exhibit 100, in making investment decisions.
 
Item 9.01. Financial Statements and Exhibits.
 
(d) 
Exhibits
 
The following exhibits are furnished herewith:
   
Exhibit Description
 
Exhibit 100
The following materials from General Electric Company’s Annual Report on Form 10-K for the year ended December 31, 2008, filed on February 18, 2009, formatted in XBRL (eXtensible Business Reporting Language): (i) Statement of Earnings for the years ended December 31, 2008, 2007 and 2006, (ii) Consolidated Statement of Changes in Shareowners’ Equity for the years ended December 31, 2008, 2007 and 2006, (iii) Statement of Financial Position at December 31, 2008 and 2007, and (iv) Statement of Cash Flows for the years ended December 31, 2008, 2007 and 2006.

 
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SIGNATURES
 
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
 
   
General Electric Company
 
   
(Registrant)
 
       
Date: March 2, 2009
 
/s/ Jamie S. Miller
 
   
Jamie S. Miller
Vice President and Controller
 

 

 
(3)

 

Exhibit Index
 
100
Materials from General Electric Company’s Annual Report on Form 10-K for the year ended December 31, 2008, filed on February 18, 2009, formatted in XBRL (eXtensible Business Reporting Language): (i) Statement of Earnings for the years ended December 31, 2008, 2007 and 2006, (ii) Consolidated Statement of Changes in Shareowners’ Equity for the years ended December 31, 2008, 2007 and 2006, (iii) Statement of Financial Position at December 31, 2008 and 2007, and (iv) Statement of Cash Flows for the years ended December 31, 2008, 2007 and 2006.


 

 
(4)

 

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49740000000 5399000000 13778000000 11611000000 2375000000 -1361000000 -1392000000 7774000000 12417000000 10219000000 -719000000 -2116000000 439000000 0 0 0 7055000000 10301000000 10658000000 0 0 The sum of accumulated gains (losses) on investment securities, currency translation adjustments, cash flow hedges and benefit plans constitutes "Accumulated other comprehensive income," as shown in Note 23, and was $(21,853) million and $8,324 million at December 31, 2008 and 2007, respectively. See accompanying notes. In the consolidating data on this page, "GE" means the basis of consolidation as described in Note 1 to the consolidated financial statements; "GECS" means General Electric Capital Services, Inc. and all of its affiliates and associated companies. Separate information is shown for "GE" and "Financial Services (GECS)." Transactions between GE and GECS have been eliminated from the "General Electric Company and consolidated affiliates" columns on the prior page. See accompanying notes. In the consolidating data on this page, "GE" means the basis of consolidation as described in Note 1 to the consolidated financial statements; "GECS" means General Electric Capital Services, Inc. and all of its affiliates and associated companies. Separate information is shown for "GE" and "Financial Services (GECS)." Transactions between GE and GECS have been eliminated from the "General Electric Company and consolidated affiliates" columns on the prior page. See accompanying notes. In the consolidating data on this page, "GE" means the basis of consolidation as described in Note 1 to the consolidated financial statements; "GECS" means General Electric Capital Services, Inc. and all of its affiliates and associated companies. Separate information is shown for "GE" and "Financial Services (GECS)." Transactions between GE and GECS have been eliminated from the "General Electric Company and consolidated affiliates" columns on the prior page. See accompanying notes. EX-100.SCH 3 ge-20081231.xsd XBRL TAXONOMY EXTENSION SCHEMA EX-100.LAB 4 ge-20081231_lab.xml XBRL TAXONOMY EXTENSION LABEL LINKBASE Current receivables (Note 10) Accounts payable, principally trade accounts Other capital Adjustments to reconcile net earnings to cash provided from operating activities ASSETS Assets of discontinued operations. Assets of discontinued operations (Note 2) Total assets Assets of businesses held for sale (Note 17) Basic earnings per share Cash and short-term, highly liquid investments that are readily convertible to known amounts of cash and are so near their maturity that they present negligible risk of changes in value due to changes in interest rates - usually with an original maturity less than 90 days, This includes items such as treasury bills, certain commercial paper, money market funds, other operating cash balances, etc. Cash and equivalents Cash paid during the year for interest Benefit plans - net Currency translation adjustments - net Cash flow hedges - net Increase (decrease) in accounts payable. Increase (decrease) in accounts payable Net increase (decrease) in borrowings (maturities of 90 days or less). Net increase (decrease) in borrowings (maturities of 90 days or less) Investment securities - net Common stock Shares outstanding Common stock Common stock (10,536,897,000 and 9,987,599,000 shares outstanding at year-end 2008 and 2007, respectively) Cost of goods sold Cost of services sold Accumulated gain (loss) on currency translation adjustments Currency translation adjustments Accumulated gain (loss) on cash flow hedges Cash flow hedges Deferred income taxes. Deferred income taxes Diluted earnings per share Dividends payable Condensed Statement of Earnings EARNINGS FROM CONTINUING OPERATIONS BEFORE INCOME TAXES EARNINGS FROM CONTINUING OPERATIONS Diluted earnings per share Basic earnings per share Earnings (loss) from discontinued operations, net of taxes (Note 2) Cash recovered (paid) during the year for income taxes Goodwill (Note 15) Other Intangible assets - net (Note 15) Inventories (Note 11) Investment in GECS Investment in GECS. Liabilities of businesses held for sale (Note 17) Liabilities of discontinued operations (Note 2) Total liabilities LIABILITIES AND EQUITY Total liabilities and equity Long-term borrowings (Note 18) Debt and Equity Financial Instruments including trading securities and securities available-for-sale. Investment securities (Note 9) Minority interest in equity of consolidated affiliates (Note 22) Minority interest in net earnings of consolidated affiliates CASH FLOWS -- FINANCING ACTIVITIES CASH FROM (USED FOR) FINANCING ACTIVITIES CASH FLOWS -- INVESTING ACTIVITIES CASH USED FOR INVESTING ACTIVITIES CASH FROM OPERATING ACTIVITIES CASH FLOWS -- OPERATING ACTIVITIES NET EARNINGS Increases attributable to net earnings Net earnings INCREASE (DECREASE) IN CASH AND EQUIVALENTS DURING YEAR Other costs and expenses Total revenues All other assets (Note 16) Other GE current liabilities All other investing activities All other liabilities (Note 20) All other financing activities Other income (Note 3) Other GECS receivables Other GECS receivables. Short-term borrowings (Note 18) Payment of Dividends (-) Preferred stock dividends declared Preferred stock (30,000 and 0 shares outstanding at year-end 2008 and 2007, respectively) Proceeds from issuance of common stock Proceeds from issuance of preferred stock and warrants Newly issued debt (maturities longer than 90 days) Newly issued debt (maturities longer than 90 days). Dispositions of property, plant and equipment Property, plant and equipment - net (Note 14) Provision for losses on financing receivables (Note 13) Provision for losses on financing receivables. Provision for income taxes Repayments of Long-Term Debt and Capital Securities (-) Retained earnings GECS earnings from continuing operations GECS earnings from continuing operations. Sales of goods Sales of services Statement of Cash Flows (Indirect) (Abstract heading) Condensed Statement of Cash Flows Total shareowners' equity (Notes 23 and 24) SUPPLEMENTAL DISCLOSURE OF CASH FLOWS INFORMATION Investment securities Accumulated gain (loss) on investment securities GECS revenues from services (Note 4) Revenue from GECS services. Revenue from Capital Services Investment contracts, insurance losses and insurance annuity benefits Investment contracts, insurance losses and insurance annuity benefits. Investment contracts, insurance losses and insurance annuity benefits Costs and expenses Total costs and expenses Costs and expenses. Costs and Expenses Interest and other financial charges Interest and other financial charges Interest and Other Financial Charges DIVIDENDS DECLARED PER SHARE COMMON SHARE Dividends declared, per share amount. Dividends declared, per share amount Per-share amounts (Note 8) Per-share amounts (Abstract heading) Per-share Amounts (Abstract) Per-share Amounts, Earnings from Continuing Operations Per share amounts, continuing coperations (Abstract) Earnings from continuing operations Net earnings Per share amounts, net (Abstract heading) Per-share Amounts, Net (Abstract) Cash from (used for) financing activities - continuing operations Cash from (used for) financing activities (continuing operations) Cash from (used for) Financing Activities - Continuing Operations Cash from (used for) financing activities - discontinued operations Cash from (used for) financing activities (discontinued operations) Cash from (used for) Financing Activities - Discontinued Operations Net purchases of GE shares for treasury Net purchases of treasury shares Net purchases of treasury shares Cash used for investing activities - continuing operations Cash from (used for) investing activities (continuing operations) Net cash flows provided (used by) investing activities - continuing operations Cash from (used for) investing activities - discontinued operations Cash used for investing activities (discontinued operations) Cash from (used for) investing activities - discontinued operations Additions to property, plant and equipment Puchases and payments for property, plant and equipment Cash from (used for) Purchases of Property, Plant and Equipment Net increase in GECS financing receivables Net decrease (increase) in GECS financing receivables. Net increase in GECS financing receivables Cash from operating activities - continuing operations Cash from (used for) continuing operations Net cash flows provided (used by) operating activities - continuing activities Cash from (used for) operating activities - discontinued operations Cash from (used for) discontinued operations Net cash flows provided (used by) operating activities - discontinued activities Cash Flow From Depreciation and Amortization Depreciation and amortization of property, plant and equipment. Depreciation and amortization of property, plant and equipment Cash Flow From Retained Earnings of Affiliates Earnings retained by GECS. Earnings from continuing operations retained by GECS Cash Flow From Decrease (Increase) in Receivables Cash flow from decrease (increase) in receivables Decrease (increase) in GE current receivables Cash Flow From Decrease (Increase) of Inventories Cash flow from decrease (increase) in inventories Decrease (increase) in inventories Increase (Decrease) in Progress Collections Increase in GE progress collections Increase in GE progress collections Cash Flow From Decrease (Increase) of Provision for Losses on Receivables Provision for losses on GECS financing receivables. Provision for losses on GECS financing receivables Cash Flow From Other Operating Activities Cash flow from decrease (increase) other operating activities All other operating activities Cash Flow from Earnings (Losses) of Discontinued Operations Cash flow from earnings (losses) of discontinued operations Loss (earnings) from discontinued operations Less cash and equivalents of discontinued operations at end of year Cash and cash equivalents, for discontinued operations Cash and Cash Equivalents, for Discontinued Operations Cash and equivalents at beginning of year Cash and cash equivalents, including continuing and discontinued operations, at beginning of period. Cash and Cash Equivalents for Continuing and Discontinued Operations at Beginning of Period Financing receivables - net (Notes 12 and 13) Financing receivables, net. Financing Receivables, Current and Noncurrent Progress collections and price adjustments accrued Accrued progress collections and price adjustments (advance payments on unfinished long term contracts). Accrued Progress Collections and Price Adjustments Investment contracts, insurance liabilities and insurance annuity benefits (Note 19) Investment contracts, insurance liabilities and insurance annuity benefits. Investment contracts, insurance liabilities and insurance annuity benefits Deferred Tax Liabilities Deferred tax liabilities, net current and noncurrent. Deferred income taxes (Note 21) Benefit plans Adjustment to comprehensive income for minimum pension liabilities, net of tax effect. Earnings Effect of Minimum Pension Liabilities Benefit plans Less common stock held in treasury Offset to equity for value of stock held in treasury Offset for Treasury Stock Value Earnings Effect of Provision for Income Taxes Provision for income taxes, adjustment to earnings Provision for income taxes (Note 7) Payments for principal businesses purchased Payments for principal businesses purchased. Cash From Divestiture (Used by Acquisition) of Business Repayments and other reductions (maturities longer than 90 days) Repayments and other reductions (maturities longer than 90 days). 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Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board true 41 2 usfr-pte_LiabilitiesStockholdersEquity usfr-pte true credit instant monetary Total of all Liabilities and Stockholders' Equity items. false false false false false false false false false 1 false true 797769000000 797769000000 false false 2 false true 795683000000 795683000000 false false Total of all Liabilities and Stockholders' Equity items. 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No authoritative reference available. false 46 2 usfr-pte_AccountsNotesReceivableNet usfr-pte true debit instant monetary Aggregate amount to be collected by the reporting entity that will be due on account (Accounts Receivable) or on written... false false false false false false false false false 1 false true 15064000000 15064000000 false false 2 false true 15093000000 15093000000 false false Aggregate amount to be collected by the reporting entity that will be due on account (Accounts Receivable) or on written promise to pay (Notes Receivable), net of any allowance for uncollectible amounts. 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Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 3 -Paragraph 10 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 false 50 2 usfr-pte_PropertyPlantEquipmentNet usfr-pte true debit instant monetary Tangible assets: 1) Held by an entity for use in the production or supply of goods and services, for rental to others, or for... false false false false false false false false false 1 false true 14433000000 14433000000 false false 2 false true 14142000000 14142000000 false false Tangible assets: 1) Held by an entity for use in the production or supply of goods and services, for rental to others, or for administrative purposes and 2) are expected to provide economic benefit for more than 1 year; net of accumulated depreciation. No authoritative reference available. false 51 2 usfr-pte_InvestmentAffiliates usfr-pte true debit instant monetary Investment in GECS. false false false false false false false false false 1 false true 53279000000 53279000000 false false 2 false true 57676000000 57676000000 false false Investment in GECS. No authoritative reference available. false 52 2 usfr-pte_IntangibleAssetsGoodwill usfr-pte true debit instant monetary Amount paid in excess of the value assigned to the identifiable net assets acquired. false false false false false false false false false 1 false true 56394000000 56394000000 false false 2 false true 55689000000 55689000000 false false Amount paid in excess of the value assigned to the identifiable net assets acquired. No authoritative reference available. false 53 2 usfr-pte_IntangibleAssetsNet usfr-pte true debit instant monetary Assets, excluding financial assets, that lack physical substance, net of accumulated amortization. false false false false false false false false false 1 false true 11364000000 11364000000 false false 2 false true 11633000000 11633000000 false false Assets, excluding financial assets, that lack physical substance, net of accumulated amortization. Reference 1: http://www.xbrl.org/2003/role/reference -Name Statement of Financial Accounting Standard (FAS) -Number 142 -Publisher FASB false 54 2 usfr-pte_OtherAssetsCurrentNonCurrent usfr-pte true debit instant monetary Assets not otherwise defined. Amounts included in this balance individually represent less than 5% of total assets. false false false false false false false false false 1 false true 22435000000 22435000000 false false 2 false true 40608000000 40608000000 false false Assets not otherwise defined. Amounts included in this balance individually represent less than 5% of total assets. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 3 -Paragraph 11 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 false 55 2 usfr-pte_AssetsHeldSaleCurrentNoncurrent usfr-pte true debit instant monetary Long lived assets held-for-sale. false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false Long lived assets held-for-sale. No authoritative reference available. false 56 2 usfr-pte_AssetsDiscontinuedOperationsCurrentNoncurrent usfr-pte true debit instant monetary Assets of discontinued operations. false false false false false false false false false 1 false true 64000000 64000000 false false 2 false true 66000000 66000000 false false Assets of discontinued operations. Reference 1: http://www.xbrl.org/2003/role/reference -Name FAS -Number 144 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas144.pdf -URIDate 37104 false 57 2 usfr-pte_Assets usfr-pte true debit instant monetary Probable future economic benefit obtained or controlled by an entity. false false false false false false false false false 1 false true 198933000000 198933000000 false false 2 false true 214786000000 214786000000 false false Probable future economic benefit obtained or controlled by an entity. No authoritative reference available. true 58 2 usfr-pte true na instant string The aggregate amount for total Liabilities and total Stockholder's Equity at the end of an accounting period Note: This... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false The aggregate amount for total Liabilities and total Stockholder's Equity at the end of an accounting period Note: This element serves as a category heading only. No data may be tagged to this element. false 59 2 usfr-pte_OtherShortTermBorrowings usfr-pte true credit instant monetary Other short-term borrowings not otherwise defined. false false false false false false false false false 1 false true 2375000000 2375000000 false false 2 false true 4106000000 4106000000 false false Other short-term borrowings not otherwise defined. No authoritative reference available. false 60 2 usfr-pte_AccountsPayable usfr-pte true credit instant monetary Amounts due to third parties for goods or services received. Amounts have usually been invoiced. false false false false false false false false false 1 false true 11699000000 11699000000 false false 2 false true 11120000000 11120000000 false false Amounts due to third parties for goods or services received. Amounts have usually been invoiced. No authoritative reference available. false 61 2 ge-20081231_AccruedProgressCollectionsPriceAdjustments gefs false credit instant monetary Accrued progress collections and price adjustments (advance payments on unfinished long term contracts). false false false false false false false false false 1 false true 13058000000 13058000000 false false 2 false true 10374000000 10374000000 false false Accrued progress collections and price adjustments (advance payments on unfinished long term contracts). No authoritative reference available. false 62 2 usfr-pte_DividendsPayable usfr-pte true credit instant monetary Unpaid obligation of the distributions to shareholders made by a corporation. false false false false false false false false false 1 false true 3340000000 3340000000 false false 2 false true 3100000000 3100000000 false false Unpaid obligation of the distributions to shareholders made by a corporation. Reference 1: http://www.xbrl.org/2003/role/reference -Name Accounting Research Bulletin (ARB) -Number 43 -Publisher FASB -Paragraph 7 -Chapter 3A false 63 2 usfr-pte_OtherCurrentLiabilities usfr-pte true credit instant monetary Obligations not previously defined that are due in one year (operating cycle) or less in the future. false false false false false false false false false 1 false true 18284000000 18284000000 false false 2 false true 15816000000 15816000000 false false Obligations not previously defined that are due in one year (operating cycle) or less in the future. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number 5 -Publisher SEC -Paragraph 20 -Section 2 false 64 2 usfr-pte_LongTermDebt usfr-pte true credit instant monetary Portion of long-term debt that is due greater than one year in the future. false false false false false false false false false 1 false true 9827000000 9827000000 false false 2 false true 11656000000 11656000000 false false Portion of long-term debt that is due greater than one year in the future. No authoritative reference available. false 65 2 ge-20081231_InvestmentContractsInsuranceLiabilitiesAnnuityBenefits gefs false credit instant monetary Investment contracts, insurance liabilities and insurance annuity benefits. false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false Investment contracts, insurance liabilities and insurance annuity benefits. No authoritative reference available. false 66 2 usfr-pte_OtherLiabilitiesShortTermLongTerm usfr-pte true credit instant monetary Other liabilities not previously defined elsewhere. false false false false false false false false false 1 false true 32767000000 32767000000 false false 2 false true 32859000000 32859000000 false false Other liabilities not previously defined elsewhere. No authoritative reference available. false 67 2 ge-20081231_DeferredTaxLiabilitiesCurrentNoncurrent gefs false credit instant monetary Deferred tax liabilities, net current and noncurrent. false false false false false false false false false 1 false true -3949000000 -3949000000 false false 2 false true 3391000000 3391000000 false false Deferred tax liabilities, net current and noncurrent. 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No authoritative reference available. false 70 2 usfr-pte_Liabilities usfr-pte true credit instant monetary Probable future sacrifices of economic benefits arising from present obligations of an entity to transfer assets or provide... false false false false false false false false false 1 false true 87590000000 87590000000 false false 2 false true 92724000000 92724000000 false false Probable future sacrifices of economic benefits arising from present obligations of an entity to transfer assets or provide services to other entities in the future. No authoritative reference available. true 71 2 usfr-pte_MinorityInterest usfr-pte true credit instant monetary Non-controlling equity interest of a subsidiary. false false false false false false false false false 1 false true 6678000000 6678000000 false false 2 false true 6503000000 6503000000 false false Non-controlling equity interest of a subsidiary. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 27 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 3 -Paragraph 19 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 false 72 2 usfr-pte_PreferredStockValue usfr-pte true credit instant monetary Value of nonredeemable preferred stock outstanding. Value may be calculated differently depending on whether the stock is... false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false Value of nonredeemable preferred stock outstanding. Value may be calculated differently depending on whether the stock is issued at par value, no par or stated value. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 28-29 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name Statement of Financial Accounting Standard (FAS) -Number 129 -Publisher FASB -Paragraph 6&7 false 73 2 usfr-pte_CommonStockValueTotal usfr-pte true credit instant monetary Aggregate legal value (par value, stated value or issuance value in case of non-par non-stated-value stock) for all common... false false false false false false false false false 1 false true 702000000 702000000 false false 2 false true 669000000 669000000 false false Aggregate legal value (par value, stated value or issuance value in case of non-par non-stated-value stock) for all common stocks from the reporting entity by the end of accounting period Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 30 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 28-29 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 30 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board Reference 6: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 false 74 2 usfr-pte_UnrealizedGainLossMarketableSecuritiesNetTaxEffect usfr-pte true credit instant monetary Accumulated unrealized holding gains and losses on securities available-for-sale, or that result from the transfer of a debt... false false false false false false false false false 1 false true -3094000000 -3094000000 false false 2 false true 124000000 124000000 false false Accumulated unrealized holding gains and losses on securities available-for-sale, or that result from the transfer of a debt security being transferred from 'hold-to-maturity' category to 'avail-for-sale'. Increases or decreases in the fair value of securities available-for-sale that occur after such securities have been written down as impaired. No authoritative reference available. false 75 2 usfr-pte_CumulativeTranslationAdjustmentNetTaxEffect usfr-pte true credit instant monetary Accumulated balance sheet adjustment for converting foreign investments into the company's own currency on a particular day. ... false false false false false false false false false 1 false true -299000000 -299000000 false false 2 false true 10708000000 10708000000 false false Accumulated balance sheet adjustment for converting foreign investments into the company's own currency on a particular day. The difference between the investment value in the foreign currency and the investment value in the company's own currency at a particular point in time. Also used for investments in subsidiaries which are of a different currency. No authoritative reference available. false 76 2 usfr-pte_DeferredHedgingGainLossNetTaxEffect usfr-pte true credit instant monetary Accumulated gains and losses from hedges that meet hedge criteria are generally recognized in current income when gains and... false false false false false false false false false 1 false true -3332000000 -3332000000 false false 2 false true -668000000 -668000000 false false Accumulated gains and losses from hedges that meet hedge criteria are generally recognized in current income when gains and losses on the hedged item are reported in current income. No authoritative reference available. false 77 2 ge-20081231_EarningsEffectMinimumPensionLiabilityNetTaxEffect gefs false credit instant monetary Adjustment to comprehensive income for minimum pension liabilities, net of tax effect. false false false false false false false false false 1 false true -15128000000 -15128000000 false false 2 false true -1840000000 -1840000000 false false Adjustment to comprehensive income for minimum pension liabilities, net of tax effect. No authoritative reference available. false 78 2 usfr-pte_AdditionalPaidCapital usfr-pte true credit instant monetary Amounts received at issuance in excess of the par or stated value of capital stock and amounts received from other... false false false false false false false false false 1 false true 40390000000 40390000000 false false 2 false true 26100000000 26100000000 false false Amounts received at issuance in excess of the par or stated value of capital stock and amounts received from other transactions involving the entity's stock or stockholders. Represents both common and preferred stock. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board false 79 2 usfr-pte_RetainedEarnings usfr-pte true credit instant monetary The undistributed earnings of a entity. false false false false false false false false false 1 false true 122123000000 122123000000 false false 2 false true 117362000000 117362000000 false false The undistributed earnings of a entity. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board false 80 2 ge-20081231_LessTreasuryStockValueTotal gefs false credit instant monetary Offset to equity for value of stock held in treasury false false false false false false false false false 1 false true -36697000000 -36697000000 false false 2 false true -36896000000 -36896000000 false false Offset to equity for value of stock held in treasury No authoritative reference available. false 81 2 usfr-pte_StockholdersEquity usfr-pte true credit instant monetary Total of all Stockholders' Equity items. false false false false false false false false false 1 false true 104665000000 104665000000 false false 2 false true 115559000000 115559000000 false false Total of all Stockholders' Equity items. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board true 82 2 usfr-pte_LiabilitiesStockholdersEquity usfr-pte true credit instant monetary Total of all Liabilities and Stockholders' Equity items. false false false false false false false false false 1 false true 198933000000 198933000000 false false 2 false true 214786000000 214786000000 false false Total of all Liabilities and Stockholders' Equity items. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 32 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 true 83 0 na true na na na No definition available. false true false false false false false false false 1 false false 0 0 false false 2 false false 0 0 false false No definition available. No authoritative reference available. false 84 2 usfr-pte true na instant string The aggregate amount for all the resources that can provide the reporting entity with future benefits; it can be further... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false The aggregate amount for all the resources that can provide the reporting entity with future benefits; it can be further divided into current assets and non-current assets based on the expected lengths of individual items' useful life Note: This element serves as a category heading only. No data may be tagged to this element. false 85 2 usfr-pte_CashCashEquivalents usfr-pte true debit instant monetary Cash and short-term, highly liquid investments that are readily convertible to known amounts of cash and are so near their... false false false false false false false false false 1 false true 37486000000 37486000000 false false 2 false true 9439000000 9439000000 false false Cash and short-term, highly liquid investments that are readily convertible to known amounts of cash and are so near their maturity that they present negligible risk of changes in value due to changes in interest rates - usually with an original maturity less than 90 days, This includes items such as treasury bills, certain commercial paper, money market funds, other operating cash balances, etc. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 3 -Paragraph 2 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 false 86 2 usfr-pte_MarketableSecuritiesCurrentNoncurrent usfr-pte true debit instant monetary Debt and Equity Financial Instruments including trading securities and securities available-for-sale. false false false false false false false false false 1 false true 41236000000 41236000000 false false 2 false true 44941000000 44941000000 false false Debt and Equity Financial Instruments including trading securities and securities available-for-sale. No authoritative reference available. false 87 2 usfr-pte_AccountsNotesReceivableNet usfr-pte true debit instant monetary Aggregate amount to be collected by the reporting entity that will be due on account (Accounts Receivable) or on written... false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false Aggregate amount to be collected by the reporting entity that will be due on account (Accounts Receivable) or on written promise to pay (Notes Receivable), net of any allowance for uncollectible amounts. No authoritative reference available. false 88 2 usfr-pte_InventoriesNet usfr-pte true debit instant monetary Amount of total inventory, net of any allowance false false false false false false false false false 1 false true 77000000 77000000 false false 2 false true 63000000 63000000 false false Amount of total inventory, net of any allowance No authoritative reference available. false 89 2 ge-20081231_FinancingReceivablesCurrentNoncurrent gefs false debit instant monetary Financing receivables, net. false false false false false false false false false 1 false true 372456000000 372456000000 false false 2 false true 384067000000 384067000000 false false Financing receivables, net. No authoritative reference available. false 90 2 usfr-pte_OtherReceivablesNet usfr-pte true debit instant monetary Other GECS receivables. false false false false false false false false false 1 false true 18636000000 18636000000 false false 2 false true 22078000000 22078000000 false false Other GECS receivables. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 3 -Paragraph 10 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 false 91 2 usfr-pte_PropertyPlantEquipmentNet usfr-pte true debit instant monetary Tangible assets: 1) Held by an entity for use in the production or supply of goods and services, for rental to others, or for... false false false false false false false false false 1 false true 64097000000 64097000000 false false 2 false true 63746000000 63746000000 false false Tangible assets: 1) Held by an entity for use in the production or supply of goods and services, for rental to others, or for administrative purposes and 2) are expected to provide economic benefit for more than 1 year; net of accumulated depreciation. No authoritative reference available. false 92 2 usfr-pte_InvestmentAffiliates usfr-pte true debit instant monetary Investment in GECS. false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false Investment in GECS. No authoritative reference available. false 93 2 usfr-pte_IntangibleAssetsGoodwill usfr-pte true debit instant monetary Amount paid in excess of the value assigned to the identifiable net assets acquired. false false false false false false false false false 1 false true 25365000000 25365000000 false false 2 false true 25427000000 25427000000 false false Amount paid in excess of the value assigned to the identifiable net assets acquired. No authoritative reference available. false 94 2 usfr-pte_IntangibleAssetsNet usfr-pte true debit instant monetary Assets, excluding financial assets, that lack physical substance, net of accumulated amortization. false false false false false false false false false 1 false true 3613000000 3613000000 false false 2 false true 4509000000 4509000000 false false Assets, excluding financial assets, that lack physical substance, net of accumulated amortization. Reference 1: http://www.xbrl.org/2003/role/reference -Name Statement of Financial Accounting Standard (FAS) -Number 142 -Publisher FASB false 95 2 usfr-pte_OtherAssetsCurrentNonCurrent usfr-pte true debit instant monetary Assets not otherwise defined. Amounts included in this balance individually represent less than 5% of total assets. false false false false false false false false false 1 false true 85721000000 85721000000 false false 2 false true 83392000000 83392000000 false false Assets not otherwise defined. Amounts included in this balance individually represent less than 5% of total assets. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 3 -Paragraph 11 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 false 96 2 usfr-pte_AssetsHeldSaleCurrentNoncurrent usfr-pte true debit instant monetary Long lived assets held-for-sale. false false false false false false false false false 1 false true 10556000000 10556000000 false false 2 false true 0 0 false false Long lived assets held-for-sale. No authoritative reference available. false 97 2 usfr-pte_AssetsDiscontinuedOperationsCurrentNoncurrent usfr-pte true debit instant monetary Assets of discontinued operations. false false false false false false false false false 1 false true 1659000000 1659000000 false false 2 false true 8823000000 8823000000 false false Assets of discontinued operations. Reference 1: http://www.xbrl.org/2003/role/reference -Name FAS -Number 144 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas144.pdf -URIDate 37104 false 98 2 usfr-pte_Assets usfr-pte true debit instant monetary Probable future economic benefit obtained or controlled by an entity. false false false false false false false false false 1 false true 660902000000 660902000000 false false 2 false true 646485000000 646485000000 false false Probable future economic benefit obtained or controlled by an entity. No authoritative reference available. true 99 2 usfr-pte true na instant string The aggregate amount for total Liabilities and total Stockholder's Equity at the end of an accounting period Note: This... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false The aggregate amount for total Liabilities and total Stockholder's Equity at the end of an accounting period Note: This element serves as a category heading only. No data may be tagged to this element. false 100 2 usfr-pte_OtherShortTermBorrowings usfr-pte true credit instant monetary Other short-term borrowings not otherwise defined. false false false false false false false false false 1 false true 193533000000 193533000000 false false 2 false true 192420000000 192420000000 false false Other short-term borrowings not otherwise defined. No authoritative reference available. false 101 2 usfr-pte_AccountsPayable usfr-pte true credit instant monetary Amounts due to third parties for goods or services received. Amounts have usually been invoiced. false false false false false false false false false 1 false true 13882000000 13882000000 false false 2 false true 14714000000 14714000000 false false Amounts due to third parties for goods or services received. Amounts have usually been invoiced. No authoritative reference available. false 102 2 ge-20081231_AccruedProgressCollectionsPriceAdjustments gefs false credit instant monetary Accrued progress collections and price adjustments (advance payments on unfinished long term contracts). false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false Accrued progress collections and price adjustments (advance payments on unfinished long term contracts). No authoritative reference available. false 103 2 usfr-pte_DividendsPayable usfr-pte true credit instant monetary Unpaid obligation of the distributions to shareholders made by a corporation. false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false Unpaid obligation of the distributions to shareholders made by a corporation. Reference 1: http://www.xbrl.org/2003/role/reference -Name Accounting Research Bulletin (ARB) -Number 43 -Publisher FASB -Paragraph 7 -Chapter 3A false 104 2 usfr-pte_OtherCurrentLiabilities usfr-pte true credit instant monetary Obligations not previously defined that are due in one year (operating cycle) or less in the future. false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false Obligations not previously defined that are due in one year (operating cycle) or less in the future. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number 5 -Publisher SEC -Paragraph 20 -Section 2 false 105 2 usfr-pte_LongTermDebt usfr-pte true credit instant monetary Portion of long-term debt that is due greater than one year in the future. false false false false false false false false false 1 false true 321068000000 321068000000 false false 2 false true 308502000000 308502000000 false false Portion of long-term debt that is due greater than one year in the future. No authoritative reference available. false 106 2 ge-20081231_InvestmentContractsInsuranceLiabilitiesAnnuityBenefits gefs false credit instant monetary Investment contracts, insurance liabilities and insurance annuity benefits. false false false false false false false false false 1 false true 34369000000 34369000000 false false 2 false true 34359000000 34359000000 false false Investment contracts, insurance liabilities and insurance annuity benefits. No authoritative reference available. false 107 2 usfr-pte_OtherLiabilitiesShortTermLongTerm usfr-pte true credit instant monetary Other liabilities not previously defined elsewhere. false false false false false false false false false 1 false true 32090000000 32090000000 false false 2 false true 26522000000 26522000000 false false Other liabilities not previously defined elsewhere. No authoritative reference available. false 108 2 ge-20081231_DeferredTaxLiabilitiesCurrentNoncurrent gefs false credit instant monetary Deferred tax liabilities, net current and noncurrent. false false false false false false false false false 1 false true 8533000000 8533000000 false false 2 false true 9099000000 9099000000 false false Deferred tax liabilities, net current and noncurrent. No authoritative reference available. false 109 2 usfr-pte_LiabilitiesDiscontinuedOperationsCurrent usfr-pte true credit instant monetary Current obligations arising from the sale, disposal or planned sale in the near future of a business segment (e.g. product... false false false false false false false false false 1 false true 636000000 636000000 false false 2 false true 0 0 false false Current obligations arising from the sale, disposal or planned sale in the near future of a business segment (e.g. product line, class of customers). No authoritative reference available. false 110 2 usfr-pte_LiabilitiesDiscontinuedOperationsShortTermLongTerm usfr-pte true credit instant monetary Obligations arising from the sale, disposal or planned sale in the near future of a business segment (e.g. product line,... false false false false false false false false false 1 false true 1243000000 1243000000 false false 2 false true 1692000000 1692000000 false false Obligations arising from the sale, disposal or planned sale in the near future of a business segment (e.g. product line, class of customers). 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Net of tax effect. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 3: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 4: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board false 10 3 usfr-pte_ChangeAdditionalMinimumPensionLiabilityNetTaxEffect usfr-pte true na duration monetary The change the accumulated net losses recognized as an additional pension liability not yet recognized as a net periodic... false false false false false false false false false 1 false true -13288000000 -13288000000 true false The change the accumulated net losses recognized as an additional pension liability not yet recognized as a net periodic pension cost, net of tax effects. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 3: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 4: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board false 11 4 ge-20081231_ChangesOtherThanTransactionsWithShareholders gefs false credit duration monetary No definition available. false false false false false false false false false 1 false true -30177000000 -30177000000 true false No definition available. No authoritative reference available. false 12 2 ge-20081231_IncreasesAttributableNetEarnings gefs false credit duration monetary No definition available. false false false false false false false false false 1 false true 17410000000 17410000000 true false No definition available. No authoritative reference available. false 13 2 ge-20081231_Comprehensiveincome na false credit duration monetary No definition available. false false false false false false false false false 1 false true -12767000000 -12767000000 true false No definition available. No authoritative reference available. false 14 2 ge-20081231_CumulativeEffectChangesAccountingPrinciples gefs false credit duration monetary No definition available. false false false false false false false false false 1 false true 0 0 true false No definition available. No authoritative reference available. false 15 2 ge-20081231_StockholdersEquityEndingBalance gefs false credit duration monetary No definition available. false false false false false false false false false 1 true true 104665000000 104665000000 true false No definition available. No authoritative reference available. false false 1 41 false NoRounding UnKnown UnKnown false true XML 9 defnref.xml IDEA: XBRL DOCUMENT Revenues are inflows or other enhancements of assets of an entity or settlements of its liabilities (or a combination of both) from delivering or producing goods, rendering services, or other activities that constitute the entity's ongoing major or central operations. No authoritative reference available. Costs and expenses. No authoritative reference available. No authoritative reference available. No authoritative reference available. Obligations not previously defined that are due in one year (operating cycle) or less in the future. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number 5 -Publisher SEC -Paragraph 20 -Section 2 Unpaid obligation of the distributions to shareholders made by a corporation. Reference 1: http://www.xbrl.org/2003/role/reference -Name Accounting Research Bulletin (ARB) -Number 43 -Publisher FASB -Paragraph 7 -Chapter 3A Cash (used by payment) of dividends No authoritative reference available. The change in accumulated balance sheet adjustment for converting foreign investments into the company's own currency on a particular day. The difference between the investment value in the foreign currency and the investment value in the company's own currency at a particular point in time. Also used for investments in subsidiaries which are of a different currency. Net of tax effect Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 3: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 4: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board This label may include the following: 1) the amount of income tax expense or benefit allocated to each component of other comprehensive income, including reclassification adjustments, 2) the reclassification adjustments for each classification of other comprehensive income and 3) the ending accumulated balances for each component of comprehensive income. Reference 1: http://www.xbrl.org/2003/role/reference -Name FAS -Number 87 -Paragraph 37-38 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas87.pdf -URIDate 31382 Reference 2: http://www.xbrl.org/2003/role/reference -Name FAS -Number 115 -Paragraph 13 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas115.pdf -URIDate 34090 Reference 3: http://www.xbrl.org/2003/role/reference -Name FAS -Number 109 -Paragraph 36 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas109.pdf -URIDate 33635 Interest and other financial charges No authoritative reference available. Newly issued debt (maturities longer than 90 days). No authoritative reference available. Proceeds from principal business dispositions No authoritative reference available. Deferred income taxes. No authoritative reference available. Cash and short-term, highly liquid investments that are readily convertible to known amounts of cash and are so near their maturity that they present negligible risk of changes in value due to changes in interest rates - usually with an original maturity less than 90 days, This includes items such as treasury bills, certain commercial paper, money market funds, other operating cash balances, etc. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 3 -Paragraph 2 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Provision for losses on GECS financing receivables. No authoritative reference available. Amount of total inventory, net of any allowance No authoritative reference available. Operating activity cash flows include all transactions and other events that are not defined as investing or financing activities. Operating activities generally involve producing and delivering goods and providing services. Cash flows from operating activities are generally the cash effects of transactions and other events that enter into the determination of net income. (Indirect Method) No authoritative reference available. Generally recurring costs associated with normal operations and currently chargeable against revenue except for the portion of said expenses which can be clearly related to production. No authoritative reference available. The net amount of investing activity cash inflow and outflow for the period. No authoritative reference available. Other liabilities not previously defined elsewhere. No authoritative reference available. Investment in GECS. No authoritative reference available. Cash from (used for) discontinued operations No authoritative reference available. No authoritative reference available. No authoritative reference available. Earnings (net income) per Diluted Share. Reference 1: http://www.xbrl.org/2003/role/reference -Name FAS -Number 128 -Paragraph 11-12. 36 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas128.pdf -URIDate 35462 Revenues and expenses after tax arising from the ongoing operations of the business. No authoritative reference available. Depreciation and amortization of property, plant and equipment. No authoritative reference available. Costs incurred to produce goods for sale. May include direct materials, direct labor, overhead, depreciation and other. No authoritative reference available. Long lived assets held-for-sale. No authoritative reference available. The net amount of financing activity cash inflow and outflow for the period. No authoritative reference available. Deferred tax liabilities, net current and noncurrent. No authoritative reference available. Non-controlling equity interest of a subsidiary. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 27 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 3 -Paragraph 19 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Other cash provided by (used in) financing activities No authoritative reference available. Investment contracts, insurance liabilities and insurance annuity benefits. No authoritative reference available. Financing receivables, net. No authoritative reference available. Accrued progress collections and price adjustments (advance payments on unfinished long term contracts). No authoritative reference available. GECS earnings from continuing operations. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number 4 -Publisher SEC -Paragraph k -Section 8 The undistributed earnings of a entity. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board No authoritative reference available. No authoritative reference available. Proceeds from the sale of property, plant and equipment and other productive assets. No authoritative reference available. Assets not otherwise defined. Amounts included in this balance individually represent less than 5% of total assets. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 3 -Paragraph 11 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 The aggregate revenues earned from sales of goods during an accounting period, net of any sales returns, allowances and discounts No authoritative reference available. Net increase (decrease) in borrowings (maturities of 90 days or less). No authoritative reference available. Total of all Liabilities and Stockholders' Equity items. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 32 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Cash from (used for) financing activities (discontinued operations) No authoritative reference available. Costs incurred to deliver services. May include direct materials, direct labor, overhead, depreciation and other. No authoritative reference available. Dividends paid to preferred shareholders. No authoritative reference available. Aggregate amount to be collected by the reporting entity that will be due on account (Accounts Receivable) or on written promise to pay (Notes Receivable), net of any allowance for uncollectible amounts. No authoritative reference available. Current obligations arising from the sale, disposal or planned sale in the near future of a business segment (e.g. product line, class of customers). No authoritative reference available. Cash from (used for) investing activities (continuing operations) No authoritative reference available. Cash flow from earnings (losses) of discontinued operations No authoritative reference available. Proceeds from sales of discontinued operations No authoritative reference available. The change in accumulated gains and losses from hedges that meet hedge criteria are generally recognized in current income when gains and losses on the hedged item are reported in current income. Net of tax effect. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 3: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 4: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board Increase (decrease) in accounts payable. No authoritative reference available. Value of nonredeemable preferred stock outstanding. Value may be calculated differently depending on whether the stock is issued at par value, no par or stated value. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 28-29 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name Statement of Financial Accounting Standard (FAS) -Number 129 -Publisher FASB -Paragraph 6&7 Cash and cash equivalents, including continuing and discontinued operations, at beginning of period. No authoritative reference available. Assets, excluding financial assets, that lack physical substance, net of accumulated amortization. Reference 1: http://www.xbrl.org/2003/role/reference -Name Statement of Financial Accounting Standard (FAS) -Number 142 -Publisher FASB Offset to equity for value of stock held in treasury No authoritative reference available. Cash and cash equivalents, for discontinued operations No authoritative reference available. Total of all Stockholders' Equity items. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board Puchases and payments for property, plant and equipment No authoritative reference available. The change in accumulated unrealized holding gains and losses on securities available-for-sale, or that result from the transfer of a debt security being transferred from 'hold-to-maturity' category to 'avail-for-sale'. Increases or decreases in the fair value of securities available-for-sale that occur after such securities have been written down as impaired. Net of tax effect. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 3: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 4: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board The net change (cash inflow and outflow) of other investing activities not otherwise defined. No authoritative reference available. Cash from (used for) continuing operations No authoritative reference available. No authoritative reference available. No authoritative reference available. Income/(loss) from Continuing Operations per Outstanding Share. Reference 1: http://www.xbrl.org/2003/role/reference -Name FAS -Number 128 -Paragraph 36 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas128.pdf -URIDate 35462 Provision for losses on financing receivables. No authoritative reference available. Statement of cash flows (heading only) No authoritative reference available. Increase in GE progress collections No authoritative reference available. Payments for principal businesses purchased. No authoritative reference available. Adjustment to comprehensive income for minimum pension liabilities, net of tax effect. No authoritative reference available. The change the accumulated net losses recognized as an additional pension liability not yet recognized as a net periodic pension cost, net of tax effects. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 3: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 4: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board Revenue from GECS services. No authoritative reference available. If the indirect method is used, amounts of interest paid (net of amounts capitalized) during the period shall be provided in related disclosures. No authoritative reference available. Net purchases of treasury shares No authoritative reference available. Basic earnings (net income) per Outstanding Share. Reference 1: http://www.xbrl.org/2003/role/reference -Name FAS -Number 128 -Paragraph 8-10. 36 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas128.pdf -URIDate 35462 Revenues generated during the normal course of business other than the sale of goods and/or delivery of services. No authoritative reference available. Statement of financial position (heading only) No authoritative reference available. Amount paid in excess of the value assigned to the identifiable net assets acquired. No authoritative reference available. Cash and cash equivalents, including continuing and discontinued operations, at end of period No authoritative reference available. Other short-term borrowings not otherwise defined. No authoritative reference available. Other GECS receivables. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 3 -Paragraph 10 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Earnings retained by GECS. No authoritative reference available. Probable future economic benefit obtained or controlled by an entity. No authoritative reference available. Income/(loss), net of tax, of a business segment that has been discontinued at year end or will be discontinued shortly after year end. No authoritative reference available. Provision for income taxes, adjustment to earnings No authoritative reference available. Probable future sacrifices of economic benefits arising from present obligations of an entity to transfer assets or provide services to other entities in the future. No authoritative reference available. Cash from (used for) financing activities (continuing operations) No authoritative reference available. All revenue less all expenses. Reference 1: http://www.xbrl.org/2003/role/reference -Name FAS -Number 95 -Paragraph 28-30 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas95.pdf -URIDate 32082 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 4 -Paragraph 17 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board Reference 6: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 The proceeds from the issuance of preferred stock. No authoritative reference available. Cash and cash equivalents at end of period, continuing operations No authoritative reference available. No authoritative reference available. No authoritative reference available. Amounts received at issuance in excess of the par or stated value of capital stock and amounts received from other transactions involving the entity's stock or stockholders. Represents both common and preferred stock. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board Cash used for investing activities (discontinued operations) No authoritative reference available. Accumulated balance sheet adjustment for converting foreign investments into the company's own currency on a particular day. The difference between the investment value in the foreign currency and the investment value in the company's own currency at a particular point in time. Also used for investments in subsidiaries which are of a different currency. No authoritative reference available. Amounts due to third parties for goods or services received. Amounts have usually been invoiced. No authoritative reference available. No authoritative reference available. No authoritative reference available. No authoritative reference available. No authoritative reference available. Repayments and other reductions (maturities longer than 90 days). No authoritative reference available. Accumulated gains (losses) (empty item) No authoritative reference available. The percentage of a subsidiary's income not owned by the consolidating entity, net of taxes. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 4 -Paragraph 10 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Consolidated Statement of Changes in Shareowners' Equity (heading only) No authoritative reference available. Income/(loss) from Continuing Operations per Diluted Share. Reference 1: http://www.xbrl.org/2003/role/reference -Name FAS -Number 128 -Paragraph 36 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas128.pdf -URIDate 35462 Dividends and other transactions with shareowners No authoritative reference available. Sum of operating profit and nonoperating income/(expense). Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 4 -Paragraph 8 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Investment contracts, insurance losses and insurance annuity benefits. No authoritative reference available. Net decrease (increase) in GECS financing receivables. No authoritative reference available. Cash flow from decrease (increase) in receivables No authoritative reference available. Cash flow from decrease (increase) in inventories No authoritative reference available. Assets of discontinued operations. Reference 1: http://www.xbrl.org/2003/role/reference -Name FAS -Number 144 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas144.pdf -URIDate 37104 Aggregate legal value (par value, stated value or issuance value in case of non-par non-stated-value stock) for all common stocks from the reporting entity by the end of accounting period Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 30 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 28-29 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 30 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board Reference 6: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Cash flow from decrease (increase) other operating activities No authoritative reference available. Statement of earnings (heading only) No authoritative reference available. Tangible assets: 1) Held by an entity for use in the production or supply of goods and services, for rental to others, or for administrative purposes and 2) are expected to provide economic benefit for more than 1 year; net of accumulated depreciation. No authoritative reference available. No authoritative reference available. No authoritative reference available. Obligations arising from the sale, disposal or planned sale in the near future of a business segment (e.g. product line, class of customers). No authoritative reference available. Debt and Equity Financial Instruments including trading securities and securities available-for-sale. No authoritative reference available. Dividends declared, per share amount. No authoritative reference available. The net change between the beginning and ending balance of cash and cash equivalents No authoritative reference available. If the indirect method is used, amounts of income taxes paid during the period shall be provided in related disclosures. No authoritative reference available. The aggregate revenues earned from sales of services during an accounting period, net of any sales returns, allowances and discounts No authoritative reference available. Accumulated gains and losses from hedges that meet hedge criteria are generally recognized in current income when gains and losses on the hedged item are reported in current income. No authoritative reference available. Accumulated unrealized holding gains and losses on securities available-for-sale, or that result from the transfer of a debt security being transferred from 'hold-to-maturity' category to 'avail-for-sale'. Increases or decreases in the fair value of securities available-for-sale that occur after such securities have been written down as impaired. No authoritative reference available. The proceeds from the issuance of common stock. No authoritative reference available. Portion of long-term debt that is due greater than one year in the future. No authoritative reference available. 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No authoritative reference available. false 68 2 usfr-pte true na duration string The aggregate amount for earnings distributed to preferred stocks and other adjustments (e.g. prior year error corrections)... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false The aggregate amount for earnings distributed to preferred stocks and other adjustments (e.g. prior year error corrections) made to retained earnings; used to compute the total retained earnings available for common stock dividends Note: This element serves as a category heading only. No data may be tagged to this element. false 69 2 usfr-pte_PreferredStockDividends usfr-pte true debit duration monetary Dividends paid to preferred shareholders. false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false 3 false true 0 0 false false Dividends paid to preferred shareholders. No authoritative reference available. false 70 2 gefs false na duration string No definition available. false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false No definition available. false 71 2 usfr-pte_SalesRevenueNetGoods usfr-pte true credit duration monetary The aggregate revenues earned from sales of goods during an accounting period, net of any sales returns, allowances and... false false false false false false false false false 1 false true 1773000000 1773000000.00 false false 2 false true 718000000 718000000.00 false false 3 false true 2384000000 2384000000.00 false false The aggregate revenues earned from sales of goods during an accounting period, net of any sales returns, allowances and discounts No authoritative reference available. false 72 2 usfr-pte_SalesRevenueNetServices usfr-pte true credit duration monetary The aggregate revenues earned from sales of services during an accounting period, net of any sales returns, allowances and... false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false 3 false true 0 0 false false The aggregate revenues earned from sales of services during an accounting period, net of any sales returns, allowances and discounts No authoritative reference available. false 73 2 usfr-pte_OtherOperatingRevenue usfr-pte true credit duration monetary Revenues generated during the normal course of business other than the sale of goods and/or delivery of services. false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false 3 false true 0 0 false false Revenues generated during the normal course of business other than the sale of goods and/or delivery of services. No authoritative reference available. false 74 2 usfr-pte_RevenueAffiliates usfr-pte true credit duration monetary GECS earnings from continuing operations. false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false 3 false true 0 0 false false GECS earnings from continuing operations. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number 4 -Publisher SEC -Paragraph k -Section 8 false 75 2 ge-20081231_RevenueFromCapitalServices gefs false credit duration monetary Revenue from GECS services. false false false false false false false false false 1 false true 69514000000 69514000000.00 false false 2 false true 71218000000 71218000000.00 false false 3 false true 58967000000 58967000000.00 false false Revenue from GECS services. No authoritative reference available. false 76 2 usfr-pte_OperatingRevenue usfr-pte true credit duration monetary Revenues are inflows or other enhancements of assets of an entity or settlements of its liabilities (or a combination of... false false false false false false false false false 1 false true 71287000000 71287000000.00 false false 2 false true 71936000000 71936000000.00 false false 3 false true 61351000000 61351000000.00 false false Revenues are inflows or other enhancements of assets of an entity or settlements of its liabilities (or a combination of both) from delivering or producing goods, rendering services, or other activities that constitute the entity's ongoing major or central operations. No authoritative reference available. true 77 2 gefs false na duration string No definition available. false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false No definition available. false 78 2 usfr-pte_CostGoodsSold usfr-pte true debit duration monetary Costs incurred to produce goods for sale. May include direct materials, direct labor, overhead, depreciation and other. false false false false false false false false false 1 false true 1517000000 1517000000.00 false false 2 false true 628000000 628000000.00 false false 3 false true 2204000000 2204000000.00 false false Costs incurred to produce goods for sale. May include direct materials, direct labor, overhead, depreciation and other. No authoritative reference available. false 79 2 usfr-pte_CostServices usfr-pte true debit duration monetary Costs incurred to deliver services. May include direct materials, direct labor, overhead, depreciation and other. false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false 3 false true 0 0 false false Costs incurred to deliver services. May include direct materials, direct labor, overhead, depreciation and other. No authoritative reference available. false 80 2 ge-20081231_InterestAndOtherFinancialCharges gefs false debit duration monetary Interest and other financial charges false false false false false false false false false 1 false true 25116000000 25116000000.00 false false 2 false true 22706000000 22706000000.00 false false 3 false true 17840000000 17840000000.00 false false Interest and other financial charges No authoritative reference available. false 81 2 ge-20081231_InvestmentContractsInsuranceLossesAndInsuranceAnnuityBenefits gefs false debit duration monetary Investment contracts, insurance losses and insurance annuity benefits. false false false false false false false false false 1 false true 3421000000 3421000000.00 false false 2 false true 3647000000 3647000000.00 false false 3 false true 3419000000 3419000000.00 false false Investment contracts, insurance losses and insurance annuity benefits. No authoritative reference available. false 82 2 usfr-pte_ProvisionDoubtfulAccounts usfr-pte true debit duration monetary Provision for losses on financing receivables. false false false false false false false false false 1 false true 7518000000 7518000000.00 false false 2 false true 4431000000 4431000000.00 false false 3 false true 3062000000 3062000000.00 false false Provision for losses on financing receivables. No authoritative reference available. false 83 2 usfr-pte_OperatingExpenses usfr-pte true debit duration monetary Generally recurring costs associated with normal operations and currently chargeable against revenue except for the portion... false false false false false false false false false 1 false true 28085000000 28085000000.00 false false 2 false true 26537000000 26537000000.00 false false 3 false true 22977000000 22977000000.00 false false Generally recurring costs associated with normal operations and currently chargeable against revenue except for the portion of said expenses which can be clearly related to production. No authoritative reference available. false 84 2 usfr-pte_MinorityInterestNetTaxEffect usfr-pte true debit duration monetary The percentage of a subsidiary's income not owned by the consolidating entity, net of taxes. false false false false false false false false false 1 false true 231000000 231000000.00 false false 2 false true 209000000 209000000.00 false false 3 false true 238000000 238000000.00 false false The percentage of a subsidiary's income not owned by the consolidating entity, net of taxes. Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 4 -Paragraph 10 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 false 85 2 ge-20081231_TotalCostsAndExpenses gefs false debit duration monetary Costs and expenses. false false false false false false false false false 1 false true 65888000000 65888000000.00 false false 2 false true 58158000000 58158000000.00 false false 3 false true 49740000000 49740000000.00 false false Costs and expenses. No authoritative reference available. true 86 2 usfr-pte_IncomeLossContinuingOperationsBeforeIncomeTaxes usfr-pte true credit duration monetary Sum of operating profit and nonoperating income/(expense). false false false false false false false false false 1 false true 5399000000 5399000000.00 false false 2 false true 13778000000 13778000000.00 false false 3 false true 11611000000 11611000000.00 false false Sum of operating profit and nonoperating income/(expense). Reference 1: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 4 -Paragraph 8 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 false 87 2 ge-20081231_EarningsProvisionIncomeTaxes gefs false credit duration monetary Provision for income taxes, adjustment to earnings false false false false false false false false false 1 false true 2375000000 2375000000.00 false false 2 false true -1361000000 -1361000000.00 false false 3 false true -1392000000 -1392000000.00 false false Provision for income taxes, adjustment to earnings No authoritative reference available. false 88 2 usfr-pte_IncomeLossContinuingOperations usfr-pte true credit duration monetary Revenues and expenses after tax arising from the ongoing operations of the business. false false false false false false false false false 1 false true 7774000000 7774000000.00 false false 2 false true 12417000000 12417000000.00 false false 3 false true 10219000000 10219000000.00 false false Revenues and expenses after tax arising from the ongoing operations of the business. No authoritative reference available. false 89 2 usfr-pte_IncomeLossDiscontinuedOperationsNetTaxEffect usfr-pte true credit duration monetary Income/(loss), net of tax, of a business segment that has been discontinued at year end or will be discontinued shortly after... false false false false false false false false false 1 false true -719000000 -719000000.00 false false 2 false true -2116000000 -2116000000.00 false false 3 false true 439000000 439000000.00 false false Income/(loss), net of tax, of a business segment that has been discontinued at year end or will be discontinued shortly after year end. No authoritative reference available. true 90 2 usfr-pte_NetIncome usfr-pte true credit duration monetary All revenue less all expenses. false false false false false false false false false 1 false true 7055000000 7055000000.00 false false 2 false true 10301000000 10301000000.00 false false 3 false true 10658000000 10658000000.00 false false All revenue less all expenses. Reference 1: http://www.xbrl.org/2003/role/reference -Name FAS -Number 95 -Paragraph 28-30 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas95.pdf -URIDate 32082 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 4 -Paragraph 17 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board Reference 6: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 false 91 2 usfr-pte_PreferredStockDividends usfr-pte true debit duration monetary Dividends paid to preferred shareholders. false false false false false false false false false 1 false true 0 0 false false 2 false true 0 0 false false 3 false true 0 0 false false Dividends paid to preferred shareholders. No authoritative reference available. false 92 2 ge-20081231_NetEarningsattributablecommonshare ge-20081231 false na duration monetary No definition available. false false false false false false false false false 1 true true 7055000000 7055000000.00 false false 2 true true 10301000000 10301000000.00 false false 3 true true 10658000000 10658000000.00 false false No definition available. No authoritative reference available. false false 3 85 false NoRounding UnKnown Hundreds false true XML 12 R2.xml IDEA: Statement of Cash Flows 1.0.0.3 true Statement of Cash Flows (USD $) false 1 $ true false false false Consolidated ge-20081231 http://ge.com/us/fr/gaap/2007 usd Standard http://www.xbrl.org/2003/iso4217 USD iso4217 0 usdPerShr Divide http://www.xbrl.org/2003/iso4217 USD iso4217 http://www.xbrl.org/2003/instance shares xbrli 0 false 2 $ true false false false Consolidated ge-20081231 http://ge.com/us/fr/gaap/2007 usd Standard http://www.xbrl.org/2003/iso4217 USD iso4217 0 usdPerShr Divide http://www.xbrl.org/2003/iso4217 USD iso4217 http://www.xbrl.org/2003/instance shares xbrli 0 false 3 $ true false false false Consolidated ge-20081231 http://ge.com/us/fr/gaap/2007 usd Standard http://www.xbrl.org/2003/iso4217 USD iso4217 0 usdPerShr Divide http://www.xbrl.org/2003/iso4217 USD iso4217 http://www.xbrl.org/2003/instance shares xbrli 0 1 0 na true na na na No definition available. false true false false false false false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false No definition available. No authoritative reference available. false 2 2 usfr-pte true na duration string The net amount for cash inflows and outflows arising from operating activities (activities not classified as financing or... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false The net amount for cash inflows and outflows arising from operating activities (activities not classified as financing or investing; e.g. production/sale of goods, providing service, buy/sale trading securities, etc.) during an accounting period calculated by converting accrual-basis net income to cash basis net operating cash flows indirectly Note: This element serves as a category heading only. No data may be tagged to this element. false 3 2 usfr-pte_NetIncome usfr-pte true credit duration monetary All revenue less all expenses. false false false false false false false false false 1 true true 17410000000 17410000000 false false 2 true true 22208000000 22208000000 false false 3 true true 20742000000 20742000000 false false All revenue less all expenses. Reference 1: http://www.xbrl.org/2003/role/reference -Name FAS -Number 95 -Paragraph 28-30 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas95.pdf -URIDate 32082 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 4 -Paragraph 17 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board Reference 6: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 false 4 2 ge-20081231_AdjustmentEarningsLossesDiscontinuedOperations gefs false credit duration monetary Cash flow from earnings (losses) of discontinued operations false false false false false false false false false 1 false true 679000000.00 679000000.00 false false 2 false true 249000000.00 249000000.00 false false 3 false true -1398000000.00 -1398000000.00 false false Cash flow from earnings (losses) of discontinued operations No authoritative reference available. false 5 2 usfr-pte true na duration string Adjustments to convert Net Income to net cash flows from operating activities. Note: This element serves as a category... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false Adjustments to convert Net Income to net cash flows from operating activities. Note: This element serves as a category heading only. No data may be tagged to this element. false 6 2 ge-20081231_AdjustmentDepreciationAmortization gefs false credit duration monetary Depreciation and amortization of property, plant and equipment. false false false false false false false false false 1 false true 11492000000.00 11492000000.00 false false 2 false true 10275000000.00 10275000000.00 false false 3 false true 8457000000.00 8457000000.00 false false Depreciation and amortization of property, plant and equipment. No authoritative reference available. false 7 2 ge-20081231_CashRetainedEarningsAffiliates gefs false credit duration monetary Earnings retained by GECS. false false false false false false false false false 1 false true 0.00 0.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false Earnings retained by GECS. No authoritative reference available. false 8 2 usfr-pte_DeferredIncomeTaxes usfr-pte true na duration monetary Deferred income taxes. false false false false false false false false false 1 false true -1284000000.00 -1284000000.00 false false 2 false true 657000000.00 657000000.00 false false 3 false true 1639000000.00 1639000000.00 false false Deferred income taxes. No authoritative reference available. false 9 2 ge-20081231_CashDecreaseIncreaseReceivables gefs false credit duration monetary Cash flow from decrease (increase) in receivables false false false false false false false false false 1 false true -24000000.00 -24000000.00 false false 2 false true -868000000.00 -868000000.00 false false 3 false true -2194000000.00 -2194000000.00 false false Cash flow from decrease (increase) in receivables No authoritative reference available. false 10 2 ge-20081231_CashDecreaseIncreaseInventories gefs false credit duration monetary Cash flow from decrease (increase) in inventories false false false false false false false false false 1 false true -719000000.00 -719000000.00 false false 2 false true -1562000000.00 -1562000000.00 false false 3 false true -1514000000.00 -1514000000.00 false false Cash flow from decrease (increase) in inventories No authoritative reference available. false 11 2 usfr-pte_ChangesAccountsPayable usfr-pte true na duration monetary Increase (decrease) in accounts payable. false false false false false false false false false 1 false true -1078000000.00 -1078000000.00 false false 2 false true -997000000.00 -997000000.00 false false 3 false true -276000000.00 -276000000.00 false false Increase (decrease) in accounts payable. No authoritative reference available. false 12 2 ge-20081231_IncreaseDecreaseProgressCollections gefs false credit duration monetary Increase in GE progress collections false false false false false false false false false 1 false true 2827000000.00 2827000000.00 false false 2 false true 4622000000.00 4622000000.00 false false 3 false true 642000000.00 642000000.00 false false Increase in GE progress collections No authoritative reference available. false 13 2 ge-20081231_DecreaseIncreaseProvisionLossesReceivables gefs false credit duration monetary Provision for losses on GECS financing receivables. false false false false false false false false false 1 false true 7518000000.00 7518000000.00 false false 2 false true 4431000000.00 4431000000.00 false false 3 false true 3062000000.00 3062000000.00 false false Provision for losses on GECS financing receivables. No authoritative reference available. false 14 2 ge-20081231_CashOtherOperatingActivities gefs false credit duration monetary Cash flow from decrease (increase) other operating activities false false false false false false false false false 1 false true 11020000000.00 11020000000.00 false false 2 false true 927000000.00 927000000.00 false false 3 false true 3352000000.00 3352000000.00 false false Cash flow from decrease (increase) other operating activities No authoritative reference available. false 15 2 ge-20081231_NetCashFlowsProvidedUsedOperatingActivitiesContinuing gefs false credit duration monetary Cash from (used for) continuing operations false false false false false false false false false 1 false true 47841000000.00 47841000000.00 false false 2 false true 39942000000.00 39942000000.00 false false 3 false true 32512000000.00 32512000000.00 false false Cash from (used for) continuing operations No authoritative reference available. false 16 2 ge-20081231_NetCashFlowsProvidedUsedOperatingActivitiesDiscontinued gefs false credit duration monetary Cash from (used for) discontinued operations false false false false false false false false false 1 false true 760000000.00 760000000.00 false false 2 false true 3380000000.00 3380000000.00 false false 3 false true -1057000000.00 -1057000000.00 false false Cash from (used for) discontinued operations No authoritative reference available. false 17 2 usfr-pte_NetCashFlowsProvidedUsedOperatingActivities usfr-pte true na duration monetary Operating activity cash flows include all transactions and other events that are not defined as investing or financing... false false false false false false false false false 1 false true 48601000000.00 48601000000.00 false false 2 false true 43322000000.00 43322000000.00 false false 3 false true 31455000000.00 31455000000.00 false false Operating activity cash flows include all transactions and other events that are not defined as investing or financing activities. Operating activities generally involve producing and delivering goods and providing services. Cash flows from operating activities are generally the cash effects of transactions and other events that enter into the determination of net income. (Indirect Method) No authoritative reference available. false 18 2 usfr-pte true na duration string The net amount for cash inflows and outflows arising from investing activities except investing in trading securities (e.g.... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false The net amount for cash inflows and outflows arising from investing activities except investing in trading securities (e.g. purchase/sale of available-for-sale securities, making loans to others for interest, acquisition/disposition of property, plant and equipment, etc) during an accounting period; it's one major component of statement of cash flows Note: This element serves as a category heading only. No data may be tagged to this element. false 19 2 ge-20081231_CashPurchasesPropertyPlantEquipment gefs false credit duration monetary Puchases and payments for property, plant and equipment false false false false false false false false false 1 false true -16010000000.00 -16010000000.00 false false 2 false true -17803000000.00 -17803000000.00 false false 3 false true -15788000000.00 -15788000000.00 false false Puchases and payments for property, plant and equipment No authoritative reference available. false 20 2 usfr-pte_ProceedsSalePropertyPlantEquipment usfr-pte true na duration monetary Proceeds from the sale of property, plant and equipment and other productive assets. false false false false false false false false false 1 false true 10975000000.00 10975000000.00 false false 2 false true 8457000000.00 8457000000.00 false false 3 false true 6795000000.00 6795000000.00 false false Proceeds from the sale of property, plant and equipment and other productive assets. No authoritative reference available. false 21 2 ge-20081231_DecreaseIncreaseFinanceReceivable gefs false credit duration monetary Net decrease (increase) in GECS financing receivables. false false false false false false false false false 1 false true -17484000000.00 -17484000000.00 false false 2 false true -44237000000.00 -44237000000.00 false false 3 false true -37146000000.00 -37146000000.00 false false Net decrease (increase) in GECS financing receivables. No authoritative reference available. false 22 2 ge-20081231_ProceedsSalesDiscontinuedOperations gefs false credit duration monetary Proceeds from sales of discontinued operations false false false false false false false false false 1 false true 5423000000.00 5423000000.00 false false 2 false true 11574000000.00 11574000000.00 false false 3 false true 11009000000.00 11009000000.00 false false Proceeds from sales of discontinued operations No authoritative reference available. false 23 2 ge-20081231_ProceedsPrincipalBusinessDispositions gefs false credit duration monetary Proceeds from principal business dispositions false false false false false false false false false 1 false true 4986000000.00 4986000000.00 false false 2 false true 2746000000.00 2746000000.00 false false 3 false true 1883000000.00 1883000000.00 false false Proceeds from principal business dispositions No authoritative reference available. false 24 2 ge-20081231_CashDivestitureAcquisitionBusiness gefs false credit duration monetary Payments for principal businesses purchased. false false false false false false false false false 1 false true -28110000000.00 -28110000000.00 false false 2 false true -17215000000.00 -17215000000.00 false false 3 false true -11573000000.00 -11573000000.00 false false Payments for principal businesses purchased. No authoritative reference available. false 25 2 usfr-pte_OtherInvestingActivitiesNet usfr-pte true na duration monetary The net change (cash inflow and outflow) of other investing activities not otherwise defined. false false false false false false false false false 1 false true 195000000.00 195000000.00 false false 2 false true -9910000000.00 -9910000000.00 false false 3 false true -6053000000.00 -6053000000.00 false false The net change (cash inflow and outflow) of other investing activities not otherwise defined. No authoritative reference available. false 26 2 ge-20081231_NetCashFlowsProvidedUsedInvestingActivitiesContinuingOperations gefs false credit duration monetary Cash from (used for) investing activities (continuing operations) false false false false false false false false false 1 false true -40025000000.00 -40025000000.00 false false 2 false true -66388000000.00 -66388000000.00 false false 3 false true -50873000000.00 -50873000000.00 false false Cash from (used for) investing activities (continuing operations) No authoritative reference available. false 27 2 ge-20081231_NetCashFlowsProvidedUsedInvestingActivitiesDiscontinuedOperations gefs false credit duration monetary Cash used for investing activities (discontinued operations) false false false false false false false false false 1 false true -876000000.00 -876000000.00 false false 2 false true -3116000000.00 -3116000000.00 false false 3 false true -1774000000.00 -1774000000.00 false false Cash used for investing activities (discontinued operations) No authoritative reference available. false 28 2 usfr-pte_NetCashFlowsProvidedUsedInvestingActivities usfr-pte true na duration monetary The net amount of investing activity cash inflow and outflow for the period. false false false false false false false false false 1 false true -40901000000.00 -40901000000.00 false false 2 false true -69504000000.00 -69504000000.00 false false 3 false true -52647000000.00 -52647000000.00 false false The net amount of investing activity cash inflow and outflow for the period. No authoritative reference available. false 29 2 usfr-pte true na duration string The net amount for cash inflows and outflows arising from financing activities (activities related to obtaining economic... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false The net amount for cash inflows and outflows arising from financing activities (activities related to obtaining economic resources from owners/creditors and returning/repaying the amount; e.g. issuance of common stock; loan borrowing and repayment, etc) during an accounting period; it's one major component of statement of cash flows Note: This element serves as a category heading only. No data may be tagged to this element. false 30 2 usfr-pte_ChangeShortTermBorrowings usfr-pte true na duration monetary Net increase (decrease) in borrowings (maturities of 90 days or less). false false false false false false false false false 1 false true -34221000000.00 -34221000000.00 false false 2 false true 2063000000.00 2063000000.00 false false 3 false true 4969000000.00 4969000000.00 false false Net increase (decrease) in borrowings (maturities of 90 days or less). No authoritative reference available. false 31 2 usfr-pte_ProceedsLongTermDebt usfr-pte true na duration monetary Newly issued debt (maturities longer than 90 days). false false false false false false false false false 1 false true 122959000000.00 122959000000.00 false false 2 false true 100869000000.00 100869000000.00 false false 3 false true 88364000000.00 88364000000.00 false false Newly issued debt (maturities longer than 90 days). No authoritative reference available. false 32 2 ge-20081231_CashRepaymentsLongTermDebt gefs false credit duration monetary Repayments and other reductions (maturities longer than 90 days). false false false false false false false false false 1 false true -69050000000.00 -69050000000.00 false false 2 false true -49826000000.00 -49826000000.00 false false 3 false true -49346000000.00 -49346000000.00 false false Repayments and other reductions (maturities longer than 90 days). No authoritative reference available. false 33 2 usfr-pte_ProceedsIssuancePreferredStock usfr-pte true na duration monetary The proceeds from the issuance of preferred stock. false false false false false false false false false 1 false true 2965000000.00 2965000000.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false The proceeds from the issuance of preferred stock. No authoritative reference available. false 34 2 usfr-pte_ProceedsIssuanceCommonStock usfr-pte true na duration monetary The proceeds from the issuance of common stock. false false false false false false false false false 1 false true 12006000000.00 12006000000.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false The proceeds from the issuance of common stock. No authoritative reference available. false 35 2 ge-20081231_NetProceedsPurchasesTreasuryStock gefs false credit duration monetary Net purchases of treasury shares false false false false false false false false false 1 false true -1249000000.00 -1249000000.00 false false 2 false true -12319000000.00 -12319000000.00 false false 3 false true -8554000000.00 -8554000000.00 false false Net purchases of treasury shares No authoritative reference available. false 36 2 ge-20081231_CashPaymentDividends gefs false credit duration monetary Cash (used by payment) of dividends false false false false false false false false false 1 false true -12408000000.00 -12408000000.00 false false 2 false true -11492000000.00 -11492000000.00 false false 3 false true -10420000000.00 -10420000000.00 false false Cash (used by payment) of dividends No authoritative reference available. false 37 2 usfr-pte_OtherNet usfr-pte true na duration monetary Other cash provided by (used in) financing activities false false false false false false false false false 1 false true 3638000000.00 3638000000.00 false false 2 false true -1204000000.00 -1204000000.00 false false 3 false true -1174000000.00 -1174000000.00 false false Other cash provided by (used in) financing activities No authoritative reference available. false 38 2 ge-20081231_NetCashFlowsProvidedUsedFinancingActivitiesContinuingOperations gefs false credit duration monetary Cash from (used for) financing activities (continuing operations) false false false false false false false false false 1 false true 24640000000.00 24640000000.00 false false 2 false true 28091000000.00 28091000000.00 false false 3 false true 23839000000.00 23839000000.00 false false Cash from (used for) financing activities (continuing operations) No authoritative reference available. false 39 2 ge-20081231_NetCashFlowsProvidedUsedFinancingActivitiesDiscontinuedOperations gefs false credit duration monetary Cash from (used for) financing activities (discontinued operations) false false false false false false false false false 1 false true -4000000.00 -4000000.00 false false 2 false true -154000000.00 -154000000.00 false false 3 false true -172000000.00 -172000000.00 false false Cash from (used for) financing activities (discontinued operations) No authoritative reference available. false 40 2 usfr-pte_NetCashFlowsProvidedUsedFinancingActivities usfr-pte true na duration monetary The net amount of financing activity cash inflow and outflow for the period. false false false false false false false false false 1 false true 24636000000.00 24636000000.00 false false 2 false true 27937000000.00 27937000000.00 false false 3 false true 23667000000.00 23667000000.00 false false The net amount of financing activity cash inflow and outflow for the period. No authoritative reference available. false 41 2 usfr-pte_NetIncreaseDecreaseCashCashEquivalents usfr-pte true na duration monetary The net change between the beginning and ending balance of cash and cash equivalents false false false false false false false false false 1 false true 32336000000.00 32336000000.00 false false 2 false true 1755000000.00 1755000000.00 false false 3 false true 2475000000.00 2475000000.00 false false The net change between the beginning and ending balance of cash and cash equivalents No authoritative reference available. false 42 2 ge-20081231_CashCashEquivalentsBeginningOfPeriod gefs false debit duration monetary Cash and cash equivalents, including continuing and discontinued operations, at beginning of period. false false false false false false false false false 1 false true 16031000000.00 16031000000.00 false false 2 false true 14276000000.00 14276000000.00 false false 3 false true 11801000000.00 11801000000.00 false false Cash and cash equivalents, including continuing and discontinued operations, at beginning of period. No authoritative reference available. false 43 2 ge-20081231_CashCashEquivalentsEndOfPeriod gefs false debit duration monetary Cash and cash equivalents, including continuing and discontinued operations, at end of period false false false false false false false false false 1 false true 48367000000.00 48367000000.00 false false 2 false true 16031000000.00 16031000000.00 false false 3 false true 14276000000.00 14276000000.00 false false Cash and cash equivalents, including continuing and discontinued operations, at end of period No authoritative reference available. false 44 2 ge-20081231_CashCashEquivalentsDiscontinuedOperations gefs false credit duration monetary Cash and cash equivalents, for discontinued operations false false false false false false false false false 1 false true 180000000.00 180000000.00 false false 2 false true 300000000.00 300000000.00 false false 3 false true 190000000.00 190000000.00 false false Cash and cash equivalents, for discontinued operations No authoritative reference available. false 45 2 ge-20081231_CashCashEquivalentsContinuingOperationsEndOfPeriod gefs false debit duration monetary Cash and cash equivalents at end of period, continuing operations false false false false false false false false false 1 false true 48187000000.00 48187000000.00 false false 2 false true 15731000000.00 15731000000.00 false false 3 false true 14086000000.00 14086000000.00 false false Cash and cash equivalents at end of period, continuing operations No authoritative reference available. false 46 2 usfr-pte true na duration string Description and amount of supplemental disclosures to the statement of cash flow. Note: This element serves as a category... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false Description and amount of supplemental disclosures to the statement of cash flow. Note: This element serves as a category heading only. No data may be tagged to this element. false 47 2 usfr-pte_CashTotalInterestExpense usfr-pte true na duration monetary If the indirect method is used, amounts of interest paid (net of amounts capitalized) during the period shall be provided in... false false false false false false false false false 1 false true -25853000000.00 -25853000000.00 false false 2 false true -23340000000.00 -23340000000.00 false false 3 false true -18438000000.00 -18438000000.00 false false If the indirect method is used, amounts of interest paid (net of amounts capitalized) during the period shall be provided in related disclosures. No authoritative reference available. false 48 2 usfr-pte_IncomeTaxesPaid usfr-pte true na duration monetary If the indirect method is used, amounts of income taxes paid during the period shall be provided in related disclosures. false false false false false false false false false 1 false true -3237000000.00 -3237000000.00 false false 2 false true -2912000000.00 -2912000000.00 false false 3 false true -2869000000.00 -2869000000.00 false false If the indirect method is used, amounts of income taxes paid during the period shall be provided in related disclosures. No authoritative reference available. false 49 0 na true na na na No definition available. false true false false false false false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false No definition available. No authoritative reference available. false 50 2 usfr-pte true na duration string The net amount for cash inflows and outflows arising from operating activities (activities not classified as financing or... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false The net amount for cash inflows and outflows arising from operating activities (activities not classified as financing or investing; e.g. production/sale of goods, providing service, buy/sale trading securities, etc.) during an accounting period calculated by converting accrual-basis net income to cash basis net operating cash flows indirectly Note: This element serves as a category heading only. No data may be tagged to this element. false 51 2 usfr-pte_NetIncome usfr-pte true credit duration monetary All revenue less all expenses. false false false false false false false false false 1 false true 17410000000 17410000000 false false 2 false true 22208000000 22208000000 false false 3 false true 20742000000 20742000000 false false All revenue less all expenses. Reference 1: http://www.xbrl.org/2003/role/reference -Name FAS -Number 95 -Paragraph 28-30 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas95.pdf -URIDate 32082 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 4 -Paragraph 17 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board Reference 6: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 false 52 2 ge-20081231_AdjustmentEarningsLossesDiscontinuedOperations gefs false credit duration monetary Cash flow from earnings (losses) of discontinued operations false false false false false false false false false 1 false true 679000000 679000000 false false 2 false true 249000000 249000000 false false 3 false true -1398000000 -1398000000 false false Cash flow from earnings (losses) of discontinued operations No authoritative reference available. false 53 2 usfr-pte true na duration string Adjustments to convert Net Income to net cash flows from operating activities. Note: This element serves as a category... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false Adjustments to convert Net Income to net cash flows from operating activities. Note: This element serves as a category heading only. No data may be tagged to this element. false 54 2 ge-20081231_AdjustmentDepreciationAmortization gefs false credit duration monetary Depreciation and amortization of property, plant and equipment. false false false false false false false false false 1 false true 2162000000.00 2162000000.00 false false 2 false true 2149000000.00 2149000000.00 false false 3 false true 1953000000.00 1953000000.00 false false Depreciation and amortization of property, plant and equipment. No authoritative reference available. false 55 2 ge-20081231_CashRetainedEarningsAffiliates gefs false credit duration monetary Earnings retained by GECS. false false false false false false false false false 1 false true -5423000000.00 -5423000000.00 false false 2 false true -5126000000.00 -5126000000.00 false false 3 false true -372000000.00 -372000000.00 false false Earnings retained by GECS. No authoritative reference available. false 56 2 usfr-pte_DeferredIncomeTaxes usfr-pte true na duration monetary Deferred income taxes. false false false false false false false false false 1 false true -417000000.00 -417000000.00 false false 2 false true 564000000.00 564000000.00 false false 3 false true 703000000.00 703000000.00 false false Deferred income taxes. No authoritative reference available. false 57 2 ge-20081231_CashDecreaseIncreaseReceivables gefs false credit duration monetary Cash flow from decrease (increase) in receivables false false false false false false false false false 1 false true -168000000.00 -168000000.00 false false 2 false true 14000000.00 14000000.00 false false 3 false true 760000000.00 760000000.00 false false Cash flow from decrease (increase) in receivables No authoritative reference available. false 58 2 ge-20081231_CashDecreaseIncreaseInventories gefs false credit duration monetary Cash flow from decrease (increase) in inventories false false false false false false false false false 1 false true -524000000.00 -524000000.00 false false 2 false true -1496000000.00 -1496000000.00 false false 3 false true -1458000000.00 -1458000000.00 false false Cash flow from decrease (increase) in inventories No authoritative reference available. false 59 2 usfr-pte_ChangesAccountsPayable usfr-pte true na duration monetary Increase (decrease) in accounts payable. false false false false false false false false false 1 false true 233000000.00 233000000.00 false false 2 false true -1073000000.00 -1073000000.00 false false 3 false true 289000000.00 289000000.00 false false Increase (decrease) in accounts payable. No authoritative reference available. false 60 2 ge-20081231_IncreaseDecreaseProgressCollections gefs false credit duration monetary Increase in GE progress collections false false false false false false false false false 1 false true 2896000000.00 2896000000.00 false false 2 false true 4620000000.00 4620000000.00 false false 3 false true 927000000.00 927000000.00 false false Increase in GE progress collections No authoritative reference available. false 61 2 ge-20081231_DecreaseIncreaseProvisionLossesReceivables gefs false credit duration monetary Provision for losses on GECS financing receivables. false false false false false false false false false 1 false true 0.00 0.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false Provision for losses on GECS financing receivables. No authoritative reference available. false 62 2 ge-20081231_CashOtherOperatingActivities gefs false credit duration monetary Cash flow from decrease (increase) other operating activities false false false false false false false false false 1 false true 2238000000.00 2238000000.00 false false 2 false true 1192000000.00 1192000000.00 false false 3 false true 1626000000.00 1626000000.00 false false Cash flow from decrease (increase) other operating activities No authoritative reference available. false 63 2 ge-20081231_NetCashFlowsProvidedUsedOperatingActivitiesContinuing gefs false credit duration monetary Cash from (used for) continuing operations false false false false false false false false false 1 false true 19086000000.00 19086000000.00 false false 2 false true 23301000000.00 23301000000.00 false false 3 false true 23772000000.00 23772000000.00 false false Cash from (used for) continuing operations No authoritative reference available. false 64 2 ge-20081231_NetCashFlowsProvidedUsedOperatingActivitiesDiscontinued gefs false credit duration monetary Cash from (used for) discontinued operations false false false false false false false false false 1 false true -5000000.00 -5000000.00 false false 2 false true -857000000.00 -857000000.00 false false 3 false true 855000000.00 855000000.00 false false Cash from (used for) discontinued operations No authoritative reference available. false 65 2 usfr-pte_NetCashFlowsProvidedUsedOperatingActivities usfr-pte true na duration monetary Operating activity cash flows include all transactions and other events that are not defined as investing or financing... false false false false false false false false false 1 false true 19081000000.00 19081000000.00 false false 2 false true 22444000000.00 22444000000.00 false false 3 false true 24627000000.00 24627000000.00 false false Operating activity cash flows include all transactions and other events that are not defined as investing or financing activities. Operating activities generally involve producing and delivering goods and providing services. Cash flows from operating activities are generally the cash effects of transactions and other events that enter into the determination of net income. (Indirect Method) No authoritative reference available. false 66 2 usfr-pte true na duration string The net amount for cash inflows and outflows arising from investing activities except investing in trading securities (e.g.... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false The net amount for cash inflows and outflows arising from investing activities except investing in trading securities (e.g. purchase/sale of available-for-sale securities, making loans to others for interest, acquisition/disposition of property, plant and equipment, etc) during an accounting period; it's one major component of statement of cash flows Note: This element serves as a category heading only. No data may be tagged to this element. false 67 2 ge-20081231_CashPurchasesPropertyPlantEquipment gefs false credit duration monetary Puchases and payments for property, plant and equipment false false false false false false false false false 1 false true -2996000000.00 -2996000000.00 false false 2 false true -2968000000.00 -2968000000.00 false false 3 false true -2913000000.00 -2913000000.00 false false Puchases and payments for property, plant and equipment No authoritative reference available. false 68 2 usfr-pte_ProceedsSalePropertyPlantEquipment usfr-pte true na duration monetary Proceeds from the sale of property, plant and equipment and other productive assets. false false false false false false false false false 1 false true 0.00 0.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false Proceeds from the sale of property, plant and equipment and other productive assets. No authoritative reference available. false 69 2 ge-20081231_DecreaseIncreaseFinanceReceivable gefs false credit duration monetary Net decrease (increase) in GECS financing receivables. false false false false false false false false false 1 false true 0.00 0.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false Net decrease (increase) in GECS financing receivables. No authoritative reference available. false 70 2 ge-20081231_ProceedsSalesDiscontinuedOperations gefs false credit duration monetary Proceeds from sales of discontinued operations false false false false false false false false false 1 false true 203000000.00 203000000.00 false false 2 false true 10826000000.00 10826000000.00 false false 3 false true 1987000000.00 1987000000.00 false false Proceeds from sales of discontinued operations No authoritative reference available. false 71 2 ge-20081231_ProceedsPrincipalBusinessDispositions gefs false credit duration monetary Proceeds from principal business dispositions false false false false false false false false false 1 false true 58000000.00 58000000.00 false false 2 false true 1047000000.00 1047000000.00 false false 3 false true 1497000000.00 1497000000.00 false false Proceeds from principal business dispositions No authoritative reference available. false 72 2 ge-20081231_CashDivestitureAcquisitionBusiness gefs false credit duration monetary Payments for principal businesses purchased. false false false false false false false false false 1 false true -3149000000.00 -3149000000.00 false false 2 false true -9645000000.00 -9645000000.00 false false 3 false true -4274000000.00 -4274000000.00 false false Payments for principal businesses purchased. No authoritative reference available. false 73 2 usfr-pte_OtherInvestingActivitiesNet usfr-pte true na duration monetary The net change (cash inflow and outflow) of other investing activities not otherwise defined. false false false false false false false false false 1 false true -5176000000.00 -5176000000.00 false false 2 false true -1697000000.00 -1697000000.00 false false 3 false true 100000000.00 100000000.00 false false The net change (cash inflow and outflow) of other investing activities not otherwise defined. No authoritative reference available. false 74 2 ge-20081231_NetCashFlowsProvidedUsedInvestingActivitiesContinuingOperations gefs false credit duration monetary Cash from (used for) investing activities (continuing operations) false false false false false false false false false 1 false true -11060000000.00 -11060000000.00 false false 2 false true -2437000000.00 -2437000000.00 false false 3 false true -3603000000.00 -3603000000.00 false false Cash from (used for) investing activities (continuing operations) No authoritative reference available. false 75 2 ge-20081231_NetCashFlowsProvidedUsedInvestingActivitiesDiscontinuedOperations gefs false credit duration monetary Cash used for investing activities (discontinued operations) false false false false false false false false false 1 false true 5000000.00 5000000.00 false false 2 false true 1003000000.00 1003000000.00 false false 3 false true -914000000.00 -914000000.00 false false Cash used for investing activities (discontinued operations) No authoritative reference available. false 76 2 usfr-pte_NetCashFlowsProvidedUsedInvestingActivities usfr-pte true na duration monetary The net amount of investing activity cash inflow and outflow for the period. false false false false false false false false false 1 false true -11055000000.00 -11055000000.00 false false 2 false true -1434000000.00 -1434000000.00 false false 3 false true -4517000000.00 -4517000000.00 false false The net amount of investing activity cash inflow and outflow for the period. No authoritative reference available. false 77 2 usfr-pte true na duration string The net amount for cash inflows and outflows arising from financing activities (activities related to obtaining economic... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false The net amount for cash inflows and outflows arising from financing activities (activities related to obtaining economic resources from owners/creditors and returning/repaying the amount; e.g. issuance of common stock; loan borrowing and repayment, etc) during an accounting period; it's one major component of statement of cash flows Note: This element serves as a category heading only. No data may be tagged to this element. false 78 2 usfr-pte_ChangeShortTermBorrowings usfr-pte true na duration monetary Net increase (decrease) in borrowings (maturities of 90 days or less). false false false false false false false false false 1 false true -2152000000.00 -2152000000.00 false false 2 false true -3284000000.00 -3284000000.00 false false 3 false true 1233000000.00 1233000000.00 false false Net increase (decrease) in borrowings (maturities of 90 days or less). No authoritative reference available. false 79 2 usfr-pte_ProceedsLongTermDebt usfr-pte true na duration monetary Newly issued debt (maturities longer than 90 days). false false false false false false false false false 1 false true 136000000.00 136000000.00 false false 2 false true 8751000000.00 8751000000.00 false false 3 false true 130000000.00 130000000.00 false false Newly issued debt (maturities longer than 90 days). No authoritative reference available. false 80 2 ge-20081231_CashRepaymentsLongTermDebt gefs false credit duration monetary Repayments and other reductions (maturities longer than 90 days). false false false false false false false false false 1 false true -1936000000.00 -1936000000.00 false false 2 false true -298000000.00 -298000000.00 false false 3 false true -93000000.00 -93000000.00 false false Repayments and other reductions (maturities longer than 90 days). No authoritative reference available. false 81 2 usfr-pte_ProceedsIssuancePreferredStock usfr-pte true na duration monetary The proceeds from the issuance of preferred stock. false false false false false false false false false 1 false true 2965000000.00 2965000000.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false The proceeds from the issuance of preferred stock. No authoritative reference available. false 82 2 usfr-pte_ProceedsIssuanceCommonStock usfr-pte true na duration monetary The proceeds from the issuance of common stock. false false false false false false false false false 1 false true 12006000000.00 12006000000.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false The proceeds from the issuance of common stock. No authoritative reference available. false 83 2 ge-20081231_NetProceedsPurchasesTreasuryStock gefs false credit duration monetary Net purchases of treasury shares false false false false false false false false false 1 false true -1249000000.00 -1249000000.00 false false 2 false true -12319000000.00 -12319000000.00 false false 3 false true -8554000000.00 -8554000000.00 false false Net purchases of treasury shares No authoritative reference available. false 84 2 ge-20081231_CashPaymentDividends gefs false credit duration monetary Cash (used by payment) of dividends false false false false false false false false false 1 false true -12408000000.00 -12408000000.00 false false 2 false true -11492000000.00 -11492000000.00 false false 3 false true -10420000000.00 -10420000000.00 false false Cash (used by payment) of dividends No authoritative reference available. false 85 2 usfr-pte_OtherNet usfr-pte true na duration monetary Other cash provided by (used in) financing activities false false false false false false false false false 1 false true 0.00 0.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false Other cash provided by (used in) financing activities No authoritative reference available. false 86 2 ge-20081231_NetCashFlowsProvidedUsedFinancingActivitiesContinuingOperations gefs false credit duration monetary Cash from (used for) financing activities (continuing operations) false false false false false false false false false 1 false true -2638000000.00 -2638000000.00 false false 2 false true -18642000000.00 -18642000000.00 false false 3 false true -17704000000.00 -17704000000.00 false false Cash from (used for) financing activities (continuing operations) No authoritative reference available. false 87 2 ge-20081231_NetCashFlowsProvidedUsedFinancingActivitiesDiscontinuedOperations gefs false credit duration monetary Cash from (used for) financing activities (discontinued operations) false false false false false false false false false 1 false true 0.00 0.00 false false 2 false true -146000000.00 -146000000.00 false false 3 false true 59000000.00 59000000.00 false false Cash from (used for) financing activities (discontinued operations) No authoritative reference available. false 88 2 usfr-pte_NetCashFlowsProvidedUsedFinancingActivities usfr-pte true na duration monetary The net amount of financing activity cash inflow and outflow for the period. false false false false false false false false false 1 false true -2638000000.00 -2638000000.00 false false 2 false true -18788000000.00 -18788000000.00 false false 3 false true -17645000000.00 -17645000000.00 false false The net amount of financing activity cash inflow and outflow for the period. No authoritative reference available. false 89 2 usfr-pte_NetIncreaseDecreaseCashCashEquivalents usfr-pte true na duration monetary The net change between the beginning and ending balance of cash and cash equivalents false false false false false false false false false 1 false true 5388000000.00 5388000000.00 false false 2 false true 2222000000.00 2222000000.00 false false 3 false true 2465000000.00 2465000000.00 false false The net change between the beginning and ending balance of cash and cash equivalents No authoritative reference available. false 90 2 ge-20081231_CashCashEquivalentsBeginningOfPeriod gefs false debit duration monetary Cash and cash equivalents, including continuing and discontinued operations, at beginning of period. false false false false false false false false false 1 false true 6702000000.00 6702000000.00 false false 2 false true 4480000000.00 4480000000.00 false false 3 false true 2015000000.00 2015000000.00 false false Cash and cash equivalents, including continuing and discontinued operations, at beginning of period. No authoritative reference available. false 91 2 ge-20081231_CashCashEquivalentsEndOfPeriod gefs false debit duration monetary Cash and cash equivalents, including continuing and discontinued operations, at end of period false false false false false false false false false 1 false true 12090000000.00 12090000000.00 false false 2 false true 6702000000.00 6702000000.00 false false 3 false true 4480000000.00 4480000000.00 false false Cash and cash equivalents, including continuing and discontinued operations, at end of period No authoritative reference available. false 92 2 ge-20081231_CashCashEquivalentsDiscontinuedOperations gefs false credit duration monetary Cash and cash equivalents, for discontinued operations false false false false false false false false false 1 false true 0.00 0.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false Cash and cash equivalents, for discontinued operations No authoritative reference available. false 93 2 ge-20081231_CashCashEquivalentsContinuingOperationsEndOfPeriod gefs false debit duration monetary Cash and cash equivalents at end of period, continuing operations false false false false false false false false false 1 false true 12090000000.00 12090000000.00 false false 2 false true 6702000000.00 6702000000.00 false false 3 false true 4480000000.00 4480000000.00 false false Cash and cash equivalents at end of period, continuing operations No authoritative reference available. false 94 2 usfr-pte true na duration string Description and amount of supplemental disclosures to the statement of cash flow. Note: This element serves as a category... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false Description and amount of supplemental disclosures to the statement of cash flow. Note: This element serves as a category heading only. No data may be tagged to this element. false 95 2 usfr-pte_CashTotalInterestExpense usfr-pte true na duration monetary If the indirect method is used, amounts of interest paid (net of amounts capitalized) during the period shall be provided in... false false false false false false false false false 1 false true -1190000000.00 -1190000000.00 false false 2 false true -1466000000.00 -1466000000.00 false false 3 false true -1343000000.00 -1343000000.00 false false If the indirect method is used, amounts of interest paid (net of amounts capitalized) during the period shall be provided in related disclosures. No authoritative reference available. false 96 2 usfr-pte_IncomeTaxesPaid usfr-pte true na duration monetary If the indirect method is used, amounts of income taxes paid during the period shall be provided in related disclosures. false false false false false false false false false 1 false true -2627000000.00 -2627000000.00 false false 2 false true -4036000000.00 -4036000000.00 false false 3 false true -2203000000.00 -2203000000.00 false false If the indirect method is used, amounts of income taxes paid during the period shall be provided in related disclosures. No authoritative reference available. false 97 0 na true na na na No definition available. false true false false false false false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false No definition available. No authoritative reference available. false 98 2 usfr-pte true na duration string The net amount for cash inflows and outflows arising from operating activities (activities not classified as financing or... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false The net amount for cash inflows and outflows arising from operating activities (activities not classified as financing or investing; e.g. production/sale of goods, providing service, buy/sale trading securities, etc.) during an accounting period calculated by converting accrual-basis net income to cash basis net operating cash flows indirectly Note: This element serves as a category heading only. No data may be tagged to this element. false 99 2 usfr-pte_NetIncome usfr-pte true credit duration monetary All revenue less all expenses. false false false false false false false false false 1 false true 7055000000 7055000000 false false 2 false true 10301000000 10301000000 false false 3 false true 10658000000 10658000000 false false All revenue less all expenses. Reference 1: http://www.xbrl.org/2003/role/reference -Name FAS -Number 95 -Paragraph 28-30 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/fas95.pdf -URIDate 32082 Reference 2: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 7 -Chapter 4 -Paragraph 17 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#till -URIDate 38299 Reference 3: http://www.xbrl.org/2003/role/reference -Name CON -Number 5 -Paragraph 55-57 -Publisher Financial Accounting Standards Board -URI http://www.fasb.org/pdf/con5.pdf -URIDate 31017 Reference 4: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 5 -Chapter 2 -Paragraph 31 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 Reference 5: http://www.xbrl.org/2003/role/reference -Name APB -Number 12 -Paragraph 10 -Publisher Accounting Principles Board Reference 6: http://www.xbrl.org/2003/role/reference -Name Regulation S-X -Number Rule 3 -Chapter 4 -Publisher SEC -URI http://www.sec.gov/divisions/corpfin/forms/regsx.htm#reg -URIDate 38299 false 100 2 ge-20081231_AdjustmentEarningsLossesDiscontinuedOperations gefs false credit duration monetary Cash flow from earnings (losses) of discontinued operations false false false false false false false false false 1 false true 719000000 719000000 false false 2 false true 2116000000 2116000000 false false 3 false true -439000000 -439000000 false false Cash flow from earnings (losses) of discontinued operations No authoritative reference available. false 101 2 usfr-pte true na duration string Adjustments to convert Net Income to net cash flows from operating activities. Note: This element serves as a category... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false Adjustments to convert Net Income to net cash flows from operating activities. Note: This element serves as a category heading only. No data may be tagged to this element. false 102 2 ge-20081231_AdjustmentDepreciationAmortization gefs false credit duration monetary Depreciation and amortization of property, plant and equipment. false false false false false false false false false 1 false true 9330000000.00 9330000000.00 false false 2 false true 8126000000.00 8126000000.00 false false 3 false true 6504000000.00 6504000000.00 false false Depreciation and amortization of property, plant and equipment. No authoritative reference available. false 103 2 ge-20081231_CashRetainedEarningsAffiliates gefs false credit duration monetary Earnings retained by GECS. false false false false false false false false false 1 false true 0.00 0.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false Earnings retained by GECS. No authoritative reference available. false 104 2 usfr-pte_DeferredIncomeTaxes usfr-pte true na duration monetary Deferred income taxes. false false false false false false false false false 1 false true -867000000.00 -867000000.00 false false 2 false true 93000000.00 93000000.00 false false 3 false true 936000000.00 936000000.00 false false Deferred income taxes. No authoritative reference available. false 105 2 ge-20081231_CashDecreaseIncreaseReceivables gefs false credit duration monetary Cash flow from decrease (increase) in receivables false false false false false false false false false 1 false true 0.00 0.00 false false 2 false true 0 0 false false 3 false true 0 0 false false Cash flow from decrease (increase) in receivables No authoritative reference available. false 106 2 ge-20081231_CashDecreaseIncreaseInventories gefs false credit duration monetary Cash flow from decrease (increase) in inventories false false false false false false false false false 1 false true -14000000.00 -14000000.00 false false 2 false true 2000000.00 2000000.00 false false 3 false true -23000000.00 -23000000.00 false false Cash flow from decrease (increase) in inventories No authoritative reference available. false 107 2 usfr-pte_ChangesAccountsPayable usfr-pte true na duration monetary Increase (decrease) in accounts payable. false false false false false false false false false 1 false true -1045000000.00 -1045000000.00 false false 2 false true 485000000.00 485000000.00 false false 3 false true -154000000.00 -154000000.00 false false Increase (decrease) in accounts payable. No authoritative reference available. false 108 2 ge-20081231_IncreaseDecreaseProgressCollections gefs false credit duration monetary Increase in GE progress collections false false false false false false false false false 1 false true 0.00 0.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false Increase in GE progress collections No authoritative reference available. false 109 2 ge-20081231_DecreaseIncreaseProvisionLossesReceivables gefs false credit duration monetary Provision for losses on GECS financing receivables. false false false false false false false false false 1 false true 7518000000.00 7518000000.00 false false 2 false true 4431000000.00 4431000000.00 false false 3 false true 3062000000.00 3062000000.00 false false Provision for losses on GECS financing receivables. No authoritative reference available. false 110 2 ge-20081231_CashOtherOperatingActivities gefs false credit duration monetary Cash flow from decrease (increase) other operating activities false false false false false false false false false 1 false true 8508000000.00 8508000000.00 false false 2 false true -539000000.00 -539000000.00 false false 3 false true 1035000000.00 1035000000.00 false false Cash flow from decrease (increase) other operating activities No authoritative reference available. false 111 2 ge-20081231_NetCashFlowsProvidedUsedOperatingActivitiesContinuing gefs false credit duration monetary Cash from (used for) continuing operations false false false false false false false false false 1 false true 31204000000.00 31204000000.00 false false 2 false true 25015000000.00 25015000000.00 false false 3 false true 21579000000.00 21579000000.00 false false Cash from (used for) continuing operations No authoritative reference available. false 112 2 ge-20081231_NetCashFlowsProvidedUsedOperatingActivitiesDiscontinued gefs false credit duration monetary Cash from (used for) discontinued operations false false false false false false false false false 1 false true 765000000.00 765000000.00 false false 2 false true 4039000000.00 4039000000.00 false false 3 false true -2041000000.00 -2041000000.00 false false Cash from (used for) discontinued operations No authoritative reference available. false 113 2 usfr-pte_NetCashFlowsProvidedUsedOperatingActivities usfr-pte true na duration monetary Operating activity cash flows include all transactions and other events that are not defined as investing or financing... false false false false false false false false false 1 false true 31969000000.00 31969000000.00 false false 2 false true 29054000000.00 29054000000.00 false false 3 false true 19538000000.00 19538000000.00 false false Operating activity cash flows include all transactions and other events that are not defined as investing or financing activities. Operating activities generally involve producing and delivering goods and providing services. Cash flows from operating activities are generally the cash effects of transactions and other events that enter into the determination of net income. (Indirect Method) No authoritative reference available. false 114 2 usfr-pte true na duration string The net amount for cash inflows and outflows arising from investing activities except investing in trading securities (e.g.... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false The net amount for cash inflows and outflows arising from investing activities except investing in trading securities (e.g. purchase/sale of available-for-sale securities, making loans to others for interest, acquisition/disposition of property, plant and equipment, etc) during an accounting period; it's one major component of statement of cash flows Note: This element serves as a category heading only. No data may be tagged to this element. false 115 2 ge-20081231_CashPurchasesPropertyPlantEquipment gefs false credit duration monetary Puchases and payments for property, plant and equipment false false false false false false false false false 1 false true -13321000000.00 -13321000000.00 false false 2 false true -15217000000.00 -15217000000.00 false false 3 false true -13168000000.00 -13168000000.00 false false Puchases and payments for property, plant and equipment No authoritative reference available. false 116 2 usfr-pte_ProceedsSalePropertyPlantEquipment usfr-pte true na duration monetary Proceeds from the sale of property, plant and equipment and other productive assets. false false false false false false false false false 1 false true 10975000000.00 10975000000.00 false false 2 false true 8457000000.00 8457000000.00 false false 3 false true 6795000000.00 6795000000.00 false false Proceeds from the sale of property, plant and equipment and other productive assets. No authoritative reference available. false 117 2 ge-20081231_DecreaseIncreaseFinanceReceivable gefs false credit duration monetary Net decrease (increase) in GECS financing receivables. false false false false false false false false false 1 false true -17375000000.00 -17375000000.00 false false 2 false true -44164000000.00 -44164000000.00 false false 3 false true -40270000000.00 -40270000000.00 false false Net decrease (increase) in GECS financing receivables. No authoritative reference available. false 118 2 ge-20081231_ProceedsSalesDiscontinuedOperations gefs false credit duration monetary Proceeds from sales of discontinued operations false false false false false false false false false 1 false true 5220000000.00 5220000000.00 false false 2 false true 117000000.00 117000000.00 false false 3 false true 9022000000.00 9022000000.00 false false Proceeds from sales of discontinued operations No authoritative reference available. false 119 2 ge-20081231_ProceedsPrincipalBusinessDispositions gefs false credit duration monetary Proceeds from principal business dispositions false false false false false false false false false 1 false true 4928000000.00 4928000000.00 false false 2 false true 1699000000.00 1699000000.00 false false 3 false true 386000000.00 386000000.00 false false Proceeds from principal business dispositions No authoritative reference available. false 120 2 ge-20081231_CashDivestitureAcquisitionBusiness gefs false credit duration monetary Payments for principal businesses purchased. false false false false false false false false false 1 false true -24961000000.00 -24961000000.00 false false 2 false true -7570000000.00 -7570000000.00 false false 3 false true -7299000000.00 -7299000000.00 false false Payments for principal businesses purchased. No authoritative reference available. false 121 2 usfr-pte_OtherInvestingActivitiesNet usfr-pte true na duration monetary The net change (cash inflow and outflow) of other investing activities not otherwise defined. false false false false false false false false false 1 false true 5979000000.00 5979000000.00 false false 2 false true -8730000000.00 -8730000000.00 false false 3 false true -5995000000.00 -5995000000.00 false false The net change (cash inflow and outflow) of other investing activities not otherwise defined. No authoritative reference available. false 122 2 ge-20081231_NetCashFlowsProvidedUsedInvestingActivitiesContinuingOperations gefs false credit duration monetary Cash from (used for) investing activities (continuing operations) false false false false false false false false false 1 false true -28555000000.00 -28555000000.00 false false 2 false true -65408000000.00 -65408000000.00 false false 3 false true -50529000000.00 -50529000000.00 false false Cash from (used for) investing activities (continuing operations) No authoritative reference available. false 123 2 ge-20081231_NetCashFlowsProvidedUsedInvestingActivitiesDiscontinuedOperations gefs false credit duration monetary Cash used for investing activities (discontinued operations) false false false false false false false false false 1 false true -881000000.00 -881000000.00 false false 2 false true -3921000000.00 -3921000000.00 false false 3 false true -731000000.00 -731000000.00 false false Cash used for investing activities (discontinued operations) No authoritative reference available. false 124 2 usfr-pte_NetCashFlowsProvidedUsedInvestingActivities usfr-pte true na duration monetary The net amount of investing activity cash inflow and outflow for the period. false false false false false false false false false 1 false true -29436000000.00 -29436000000.00 false false 2 false true -69329000000.00 -69329000000.00 false false 3 false true -51260000000.00 -51260000000.00 false false The net amount of investing activity cash inflow and outflow for the period. No authoritative reference available. false 125 2 usfr-pte true na duration string The net amount for cash inflows and outflows arising from financing activities (activities related to obtaining economic... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false The net amount for cash inflows and outflows arising from financing activities (activities related to obtaining economic resources from owners/creditors and returning/repaying the amount; e.g. issuance of common stock; loan borrowing and repayment, etc) during an accounting period; it's one major component of statement of cash flows Note: This element serves as a category heading only. No data may be tagged to this element. false 126 2 usfr-pte_ChangeShortTermBorrowings usfr-pte true na duration monetary Net increase (decrease) in borrowings (maturities of 90 days or less). false false false false false false false false false 1 false true -31282000000.00 -31282000000.00 false false 2 false true 3397000000.00 3397000000.00 false false 3 false true 6470000000.00 6470000000.00 false false Net increase (decrease) in borrowings (maturities of 90 days or less). No authoritative reference available. false 127 2 usfr-pte_ProceedsLongTermDebt usfr-pte true na duration monetary Newly issued debt (maturities longer than 90 days). false false false false false false false false false 1 false true 122507000000.00 122507000000.00 false false 2 false true 92019000000.00 92019000000.00 false false 3 false true 88280000000.00 88280000000.00 false false Newly issued debt (maturities longer than 90 days). No authoritative reference available. false 128 2 ge-20081231_CashRepaymentsLongTermDebt gefs false credit duration monetary Repayments and other reductions (maturities longer than 90 days). false false false false false false false false false 1 false true -67114000000.00 -67114000000.00 false false 2 false true -49528000000.00 -49528000000.00 false false 3 false true -49253000000.00 -49253000000.00 false false Repayments and other reductions (maturities longer than 90 days). No authoritative reference available. false 129 2 usfr-pte_ProceedsIssuancePreferredStock usfr-pte true na duration monetary The proceeds from the issuance of preferred stock. false false false false false false false false false 1 false true 0.00 0.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false The proceeds from the issuance of preferred stock. No authoritative reference available. false 130 2 usfr-pte_ProceedsIssuanceCommonStock usfr-pte true na duration monetary The proceeds from the issuance of common stock. false false false false false false false false false 1 false true 0.00 0.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false The proceeds from the issuance of common stock. No authoritative reference available. false 131 2 ge-20081231_NetProceedsPurchasesTreasuryStock gefs false credit duration monetary Net purchases of treasury shares false false false false false false false false false 1 false true 0.00 0.00 false false 2 false true 0.00 0.00 false false 3 false true 0.00 0.00 false false Net purchases of treasury shares No authoritative reference available. false 132 2 ge-20081231_CashPaymentDividends gefs false credit duration monetary Cash (used by payment) of dividends false false false false false false false false false 1 false true -2351000000.00 -2351000000.00 false false 2 false true -7291000000.00 -7291000000.00 false false 3 false true -9847000000.00 -9847000000.00 false false Cash (used by payment) of dividends No authoritative reference available. false 133 2 usfr-pte_OtherNet usfr-pte true na duration monetary Other cash provided by (used in) financing activities false false false false false false false false false 1 false true 3638000000.00 3638000000.00 false false 2 false true -1204000000.00 -1204000000.00 false false 3 false true -1174000000.00 -1174000000.00 false false Other cash provided by (used in) financing activities No authoritative reference available. false 134 2 ge-20081231_NetCashFlowsProvidedUsedFinancingActivitiesContinuingOperations gefs false credit duration monetary Cash from (used for) financing activities (continuing operations) false false false false false false false false false 1 false true 25398000000.00 25398000000.00 false false 2 false true 37393000000.00 37393000000.00 false false 3 false true 34476000000.00 34476000000.00 false false Cash from (used for) financing activities (continuing operations) No authoritative reference available. false 135 2 ge-20081231_NetCashFlowsProvidedUsedFinancingActivitiesDiscontinuedOperations gefs false credit duration monetary Cash from (used for) financing activities (discontinued operations) false false false false false false false false false 1 false true -4000000.00 -4000000.00 false false 2 false true -8000000.00 -8000000.00 false false 3 false true -231000000.00 -231000000.00 false false Cash from (used for) financing activities (discontinued operations) No authoritative reference available. false 136 2 usfr-pte_NetCashFlowsProvidedUsedFinancingActivities usfr-pte true na duration monetary The net amount of financing activity cash inflow and outflow for the period. false false false false false false false false false 1 false true 25394000000.00 25394000000.00 false false 2 false true 37385000000.00 37385000000.00 false false 3 false true 34245000000.00 34245000000.00 false false The net amount of financing activity cash inflow and outflow for the period. No authoritative reference available. false 137 2 usfr-pte_NetIncreaseDecreaseCashCashEquivalents usfr-pte true na duration monetary The net change between the beginning and ending balance of cash and cash equivalents false false false false false false false false false 1 false true 27927000000.00 27927000000.00 false false 2 false true -2890000000.00 -2890000000.00 false false 3 false true 2523000000.00 2523000000.00 false false The net change between the beginning and ending balance of cash and cash equivalents No authoritative reference available. false 138 2 ge-20081231_CashCashEquivalentsBeginningOfPeriod gefs false debit duration monetary Cash and cash equivalents, including continuing and discontinued operations, at beginning of period. false false false false false false false false false 1 false true 9739000000.00 9739000000.00 false false 2 false true 12629000000.00 12629000000.00 false false 3 false true 10106000000.00 10106000000.00 false false Cash and cash equivalents, including continuing and discontinued operations, at beginning of period. No authoritative reference available. false 139 2 ge-20081231_CashCashEquivalentsEndOfPeriod gefs false debit duration monetary Cash and cash equivalents, including continuing and discontinued operations, at end of period false false false false false false false false false 1 false true 37666000000.00 37666000000.00 false false 2 false true 9739000000.00 9739000000.00 false false 3 false true 12629000000.00 12629000000.00 false false Cash and cash equivalents, including continuing and discontinued operations, at end of period No authoritative reference available. false 140 2 ge-20081231_CashCashEquivalentsDiscontinuedOperations gefs false credit duration monetary Cash and cash equivalents, for discontinued operations false false false false false false false false false 1 false true 180000000.00 180000000.00 false false 2 false true 300000000.00 300000000.00 false false 3 false true 190000000.00 190000000.00 false false Cash and cash equivalents, for discontinued operations No authoritative reference available. false 141 2 ge-20081231_CashCashEquivalentsContinuingOperationsEndOfPeriod gefs false debit duration monetary Cash and cash equivalents at end of period, continuing operations false false false false false false false false false 1 false true 37486000000.00 37486000000.00 false false 2 false true 9439000000.00 9439000000.00 false false 3 false true 12439000000.00 12439000000.00 false false Cash and cash equivalents at end of period, continuing operations No authoritative reference available. false 142 2 usfr-pte true na duration string Description and amount of supplemental disclosures to the statement of cash flow. Note: This element serves as a category... false false false false false true false false false 1 false false 0 0 false false 2 false false 0 0 false false 3 false false 0 0 false false Description and amount of supplemental disclosures to the statement of cash flow. Note: This element serves as a category heading only. No data may be tagged to this element. false 143 2 usfr-pte_CashTotalInterestExpense usfr-pte true na duration monetary If the indirect method is used, amounts of interest paid (net of amounts capitalized) during the period shall be provided in... false false false false false false false false false 1 false true -24663000000.00 -24663000000.00 false false 2 false true -21874000000.00 -21874000000.00 false false 3 false true -17095000000.00 -17095000000.00 false false If the indirect method is used, amounts of interest paid (net of amounts capitalized) during the period shall be provided in related disclosures. No authoritative reference available. false 144 2 usfr-pte_IncomeTaxesPaid usfr-pte true na duration monetary If the indirect method is used, amounts of income taxes paid during the period shall be provided in related disclosures. false false false false false false false false false 1 true true -610000000.00 -610000000.00 false false 2 true true 1124000000.00 1124000000.00 false false 3 true true -666000000.00 -666000000.00 false false If the indirect method is used, amounts of income taxes paid during the period shall be provided in related disclosures. No authoritative reference available. false false 3 144 false NoRounding UnKnown UnKnown false true XML 13 FilingSummary.xml IDEA: XBRL DOCUMENT 1.0.0.3 true Sheet Income Statement Income Statement R1.xml false Sheet Statement of Cash Flows Statement of Cash Flows R2.xml false Sheet Statement of Financial Position Statement of Financial Position R3.xml false Sheet Statement of Stockholders' Equity Statement of Stockholders' Equity R4.xml false Uncategorized Uncategorized Items Uncategorized Items R99.xml false Book All Reports All Reports 1 15 3 0 2 123 true false GE_CONS_12312008 40 GE_GE_12M06 64 GE_CONS_12M08 83 GE_GE_12M08 64 GE_GECS_12M06 64 GE_CONS_12312007 40 GE_CONS_12M07 83 GE_GECS_12312008 39 GE_GE_12312007 39 GE_GE_12312008 39 GE_CONS_12M06 83 GE_GE_12M07 64 GE_GECS_12312007 39 GE_GECS_12M08 64 GE_GECS_12M07 64 us-gaap-ci-2005-02-28 true true EXCEL 14 Financial_Report.xls IDEA: XBRL DOCUMENT begin 644 Financial_Report.xls MT,\1X*&Q&N$`````````````````````/@`#`/[_"0`&```````````````! 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