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Fair Value Measurements (Narrative) (Details) (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 30, 2012
Jun. 30, 2012
Dec. 31, 2011
Acquisition cost per share     $ 30.00
Long Term Debt Range Adjusted To Fair Value at Merger Start 2013    
Long Term Debt Range Adjusted To Fair Value At Merger End 2061    
Unrealized gains / (losses) on financial instruments, Amount before tax   $ 0.5  
Percent of inputs to the fair value of derivative instruments from quoted market prices   99.00%  
Money market funds $ 110.0 $ 110.0 $ 125.0
First Mortgage Bonds Maturing in October 2013 - 5.125% [Member]
     
Debt maturities maximum period   Oct. 01, 2013  
Pollution Control Series Maturing in January 2028 - 4.70% [Member]
     
Debt maturities maximum period   Jan. 01, 2028  
Pollution Control Series Maturing in January 2034 - 4.80% [Member]
     
Debt maturities maximum period   Jan. 01, 2034  
Pollution Control Series Maturing in September 2036 - 4.80% [Member]
     
Debt maturities maximum period   Sep. 01, 2036  
Pollution control series maturing in November 2040 - variable rates: 0.04% - 0.20% and 0.06% - 0.32% [Member]
     
Debt maturities maximum period   Nov. 01, 2040  
Note to DPL Capital Trust II Maturing in September 2031 - 8.125% [Member]
     
Debt maturities maximum period   Sep. 01, 2031  
Five Year Senior Unsecured Notes at 6.50% maturing on October 15, 2016 [Member]
     
Debt maturities maximum period   Oct. 01, 2016  
Ten Year Senior Unsecured Notes at 7.25% maturing at October 15, 2021 [Member]
     
Debt maturities maximum period   Oct. 01, 2021