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CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Millions
Dec. 31, 2022
Dec. 31, 2021
Current assets:    
Cash and cash equivalents $ 1,601 $ 639
Customer receivables, net 4,349 3,378
Other receivables 744 730
Materials, supplies and fuel inventory 1,934 1,561
Regulatory assets 2,165 1,125
Derivatives 1,590 689
Other 1,107 1,166
Total current assets 13,490 9,288
Other assets:    
Property, plant and equipment – net 111,059 99,348
Special use funds 7,496 8,922
Investment in equity method investees 6,582 6,159
Prepaid benefit costs 1,832 2,243
Regulatory assets 5,992 4,578
Derivatives 1,935 1,135
Goodwill 4,854 4,844
Other 5,695 4,395
Total other assets 145,445 131,624
TOTAL ASSETS 158,935 140,912
Current liabilities:    
Commercial paper 1,709 1,382
Other short-term debt 1,368 700
Current portion of long-term debt 6,633 1,785
Accounts payable 8,312 6,935
Customer deposits 560 485
Accrued interest and taxes 719 525
Derivatives 2,102 1,263
Accrued construction-related expenditures 1,760 1,378
Regulatory liabilities 350 289
Other 3,182 2,695
Total current liabilities 26,695 17,437
Other liabilities and deferred credits:    
Long-term debt 55,256 50,960
Asset retirement obligations 3,245 3,082
Deferred income taxes 9,072 8,310
Regulatory liabilities 9,626 11,273
Derivatives 2,909 1,713
Other 2,696 2,468
Total other liabilities and deferred credits 82,804 77,806
TOTAL LIABILITIES 109,499 95,243
COMMITMENTS AND CONTINGENCIES
REDEEMABLE NONCONTROLLING INTERESTS – VIEs 1,110 245
EQUITY    
Common stock 20 20
Additional paid-in capital 12,720 11,271
Retained earnings 26,707 25,911
Accumulated other comprehensive loss (218) 0
Total common shareholders' equity 39,229 37,202
Noncontrolling interests 9,097 8,222
TOTAL EQUITY 48,326 45,424
TOTAL LIABILITIES, REDEEMABLE NONCONTROLLING INTERESTS AND EQUITY 158,935 140,912
FPL [Member]    
Current assets:    
Cash and cash equivalents 25 55
Customer receivables, net 1,739 1,297
Other receivables 332 350
Materials, supplies and fuel inventory 1,159 963
Regulatory assets 2,155 1,111
Derivatives 19 13
Other 143 142
Total current assets 5,553 3,918
Other assets:    
Electric utility plant and other property – net 64,693 58,227
Special use funds 5,221 6,158
Prepaid benefit costs 1,732 1,657
Regulatory assets 5,484 4,343
Derivatives 10  
Goodwill 2,989 2,989
Other 887 775
Total other assets 81,006 74,149
TOTAL ASSETS 86,559 78,067
Current liabilities:    
Commercial paper 1,709 1,382
Other short-term debt 200 200
Current portion of long-term debt 1,547 536
Accounts payable 1,377 1,318
Customer deposits 543 478
Accrued interest and taxes 362 322
Derivatives 12 9
Accrued construction-related expenditures 559 601
Regulatory liabilities 349 278
Other 1,197 643
Total current liabilities 7,843 5,758
Other liabilities and deferred credits:    
Long-term debt 19,455 17,974
Asset retirement obligations 2,108 2,049
Deferred income taxes 8,376 7,137
Regulatory liabilities 9,458 11,053
Derivatives 1 1
Other 399 502
Total other liabilities and deferred credits 39,796 38,715
TOTAL LIABILITIES 47,639 44,473
COMMITMENTS AND CONTINGENCIES
EQUITY    
Common stock 1,373 1,373
Additional paid-in capital 23,561 19,936
Retained earnings 13,986 12,285
TOTAL EQUITY 38,920 33,594
TOTAL LIABILITIES, REDEEMABLE NONCONTROLLING INTERESTS AND EQUITY $ 86,559 $ 78,067