10-K.Info (Beta Test)
Courtesy of Short Sands, LLC
10-K.Info (Beta Test)
Courtesy of Short Sands, LLC

NEXTERA ENERGY INC

Ticker: NEE   Fiscal Year: 2012

CONSOLIDATED STATEMENTS OF INCOME

Period Ending Dec 31, 2012 10-K (Filed: Feb 28, 2013)

(In Dollars)
 12 Months Ended12 Months Ended12 Months Ended
 Dec 31, 2012Dec 31, 2011Dec 31, 2010
OPERATING REVENUES
$
14,256,000,000
15,341,000,00015,317,000,000
OPERATING EXPENSES
Fuel, purchased power and interchange5,121,000,0006,256,000,0006,242,000,000
Other operations and maintenance3,155,000,0003,002,000,0002,877,000,000
Impairment charges051,000,00019,000,000
Depreciation and amortization1,518,000,0001,567,000,0001,788,000,000
Taxes other than income taxes and other1,186,000,0001,204,000,0001,164,000,000
Total operating expenses10,980,000,00012,080,000,00012,090,000,000
 
OPERATING INCOME3,276,000,0003,261,000,0003,227,000,000
 
OTHER INCOME (DEDUCTIONS)
Interest expense(1,038,000,000)(1,035,000,000)(979,000,000)
Benefits associated with differential membership interests81,000,000118,000,00016,000,000
Loss on sale of natural gas-fired generating assets0(151,000,000)0
Equity in earnings of equity method investees13,000,00055,000,00058,000,000
Allowance for equity funds used during construction67,000,00039,000,00037,000,000
Interest income86,000,00079,000,00091,000,000
Gains on disposal of assets - net157,000,00085,000,00067,000,000
Other than temporary impairment losses on securities held in nuclear decommissioning funds(16,000,000)(36,000,000)(16,000,000)
Other - net(23,000,000)37,000,000(12,000,000)
Total other deductions - net(673,000,000)(809,000,000)(738,000,000)
 
INCOME BEFORE INCOME TAXES2,603,000,0002,452,000,0002,489,000,000
 
INCOME TAXES692,000,000529,000,000532,000,000
NET INCOME1,911,000,0001,923,000,0001,957,000,000
 
Earnings per share of common stock:
Basic (in dollars per share)555
Assuming dilution (in dollars per share)555
Dividends per share of common stock (in dollars per share)222
Weighted-average number of common shares outstanding:
Basic (in shares)416,700,000416,600,000410,300,000
Assuming dilution (in shares)419,200,000419,000,000413,000,000
Legal Entity
FPL
OPERATING REVENUES10,114,000,00010,613,000,00010,485,000,000
Fuel, purchased power and interchange4,265,000,0004,977,000,0004,982,000,000
Other operations and maintenance1,773,000,0001,699,000,0001,620,000,000
Depreciation and amortization659,000,000798,000,0001,008,000,000
Taxes other than income taxes and other1,060,000,0001,063,000,0001,026,000,000
Total operating expenses7,757,000,0008,537,000,0008,636,000,000
 
OPERATING INCOME2,357,000,0002,076,000,0001,849,000,000
 
Interest expense(417,000,000)(387,000,000)(361,000,000)
Allowance for equity funds used during construction52,000,00035,000,00036,000,000
Other - net0(2,000,000)1,000,000
Total other deductions - net(365,000,000)(354,000,000)(324,000,000)
 
INCOME BEFORE INCOME TAXES1,992,000,0001,722,000,0001,525,000,000
 
INCOME TAXES752,000,000654,000,000580,000,000
NET INCOME1,240,000,0001,068,000,000945,000,000
 
10-K.Info (Beta Test)
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NEXTERA ENERGY INC

Ticker: NEE   Fiscal Year: 2012

CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME

Period Ending Dec 31, 2012 10-K (Filed: Feb 28, 2013)

(In Dollars)
 12 Months Ended12 Months Ended12 Months Ended
 Dec 31, 2012Dec 31, 2011Dec 31, 2010
Net Income (Loss) Attributable to Parent
$
1,911,000,000
1,923,000,0001,957,000,000
Other Comprehensive Income (Loss), Unrealized Gain (Loss) on Derivatives Arising During Period, Net of Tax(106,000,000)(265,000,000)(5,000,000)
Other Comprehensive Income (Loss), Reclassification Adjustment on Derivatives Included in Net Income, Net of Tax44,000,00037,000,000(38,000,000)
Other Comprehensive Income (Loss), Unrealized Holding Gain (Loss) on Securities Arising During Period, Net of Tax70,000,00019,000,00060,000,000
Other Comprehensive Income (Loss), Reclassification Adjustment for Sale of Securities Included in Net Income, Net of Tax(77,000,000)(49,000,000)(21,000,000)
Other Comprehensive Income (Loss), Pension and Other Postretirement Benefit Plans, Adjustment, Net of Tax(28,000,000)(45,000,000)2,000,000
Other Comprehensive Income (Loss), Foreign Currency Transaction and Translation Adjustment, Net of Tax7,000,000(5,000,000)(1,000,000)
Other comprehensive income (loss) related to equity method investee, net of tax(11,000,000)(12,000,000)0
Other Comprehensive Income (Loss), Net of Tax(101,000,000)(320,000,000)(3,000,000)
Comprehensive Income (Loss), Net of Tax, Attributable to Parent1,810,000,0001,603,000,0001,954,000,000
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NEXTERA ENERGY INC

Ticker: NEE   Fiscal Year: 2012

CONSOLIDATED STATEMENTS OF CASH FLOWS

Period Ending Dec 31, 2012 10-K (Filed: Feb 28, 2013)

(In Dollars)
 12 Months Ended12 Months Ended12 Months Ended
 Dec 31, 2012Dec 31, 2011Dec 31, 2010
CASH FLOWS FROM OPERATING ACTIVITIES
Net income (loss)
$
1,911,000,000
1,923,000,0001,957,000,000
Adjustments to reconcile net income to net cash provided by (used in) operating activities:
Depreciation and amortization1,518,000,0001,567,000,0001,788,000,000
Nuclear fuel amortization254,000,000277,000,000285,000,000
Loss on sale of natural gas-fired generating assets0151,000,0000
Impairment charges051,000,00019,000,000
Unrealized (gains) losses on marked to market energy contracts(85,000,000)(271,000,000)(386,000,000)
Deferred income taxes682,000,000553,000,000511,000,000
Cost recovery clauses and franchise fees129,000,000181,000,000(629,000,000)
Changes in prepaid option premiums and derivative settlements(90,000,000)(11,000,000)86,000,000
Benefits associated with differential membership interests(81,000,000)(118,000,000)(16,000,000)
Equity in earnings of equity method investees(13,000,000)(55,000,000)(58,000,000)
Distributions of earnings from equity method investees32,000,00095,000,00074,000,000
Allowance for equity funds used during construction(67,000,000)(39,000,000)(37,000,000)
Gains on disposal of assets - net(157,000,000)(85,000,000)(67,000,000)
Other than temporary impairment losses on securities held in nuclear decommissioning funds16,000,00036,000,00016,000,000
Other - net133,000,000321,000,00054,000,000
Changes in operating assets and liabilities:
Customer and other receivables286,000,000(149,000,000)102,000,000
Materials, supplies and fossil fuel inventory1,000,000(308,000,000)22,000,000
Other current assets(46,000,000)(22,000,000)(52,000,000)
Other assets3,000,000(103,000,000)42,000,000
Accounts payable(17,000,000)(97,000,000)179,000,000
Customer deposits(39,000,000)(87,000,000)21,000,000
Margin cash collateral104,000,00081,000,00061,000,000
Income taxes(20,000,000)62,000,00056,000,000
Interest and other taxes15,000,00012,000,000(3,000,000)
Other current liabilities139,000,0003,000,00076,000,000
Other liabilities(44,000,000)(192,000,000)(63,000,000)
Net cash provided by operating activities3,992,000,0004,074,000,0003,834,000,000
 
CASH FLOWS FROM INVESTING ACTIVITIES
Capital expenditures(4,070,000,000)(3,137,000,000)(2,605,000,000)
Independent power and other investments of NextEra Energy Resources(4,591,000,000)(2,601,000,000)(2,899,000,000)
Cash grants under the American Recovery and Reinvestment Act of 2009196,000,000624,000,000588,000,000
Funds received from a spent fuel settlement48,000,00073,000,00044,000,000
Nuclear fuel purchases(305,000,000)(538,000,000)(274,000,000)
Other capital expenditures(495,000,000)(352,000,000)(68,000,000)
Sale of natural gas-fired generating assets01,204,000,0000
Change in loan proceeds restricted for construction314,000,000(565,000,000)0
Proceeds from sale or maturity of securities in special use funds5,028,000,0004,348,000,0006,726,000,000
Purchases of securities in special use funds(5,107,000,000)(4,440,000,000)(6,835,000,000)
Proceeds from sale or maturity of other securities273,000,000488,000,000721,000,000
Purchases of other securities(312,000,000)(515,000,000)(714,000,000)
Other - net93,000,000132,000,00032,000,000
Net cash used in investing activities(8,928,000,000)(5,279,000,000)(5,284,000,000)
 
CASH FLOWS FROM FINANCING ACTIVITES
Issuances of long-term debt6,630,000,0003,940,000,0003,724,000,000
Retirements of long-term debt(1,612,000,000)(2,121,000,000)(769,000,000)
Proceeds from sale of differential membership interests808,000,000466,000,000261,000,000
Payments to differential membership investors(139,000,000)(100,000,000)0
Net change in short-term debt61,000,000460,000,000(1,130,000,000)
Issuances of common stock - net405,000,00048,000,000308,000,000
Repurchases of common stock(19,000,000)(375,000,000)0
Dividends on common stock(1,004,000,000)(920,000,000)(823,000,000)
Other - net(242,000,000)(118,000,000)(57,000,000)
Net cash provided by (used in) financing activities4,888,000,0001,280,000,0001,514,000,000
 
Net increase (decrease) in cash and cash equivalents(48,000,000)75,000,00064,000,000
 
Cash and cash equivalents at beginning of year377,000,000302,000,000
Cash and cash equivalents at end of year329,000,000377,000,000302,000,000
 
SUPPLEMENTAL DISCLOSURES OF CASH FLOW INFORMATION
Cash paid for interest (net of amount capitalized)1,001,000,000978,000,000916,000,000
Cash paid (received) for income taxes - net25,000,000(95,000,000)20,000,000
SUPPLEMENTAL SCHEDULE OF NONCASH INVESTING AND FINANCING ACTIVITIES
Assumption of debt in connection with the purchase of independent power projects0035,000,000
Accrued property additions970,000,000909,000,000545,000,000
Sale of natural gas-fired generating assets through assumption of debt by buyer0158,000,0000
Legal Entity
FPL
Net income (loss)1,240,000,0001,068,000,000945,000,000
Depreciation and amortization659,000,000798,000,0001,008,000,000
Nuclear fuel amortization107,000,000147,000,000137,000,000
Deferred income taxes988,000,000675,000,000419,000,000
Cost recovery clauses and franchise fees129,000,000181,000,000(629,000,000)
Allowance for equity funds used during construction(52,000,000)(35,000,000)(36,000,000)
Other - net(27,000,000)73,000,00016,000,000
Customer receivables(78,000,000)28,000,000127,000,000
Other receivables(18,000,000)37,000,000(43,000,000)
Materials, supplies and fossil fuel inventory33,000,000(254,000,000)23,000,000
Other current assets(20,000,000)(20,000,000)(25,000,000)
Other assets(41,000,000)(52,000,000)40,000,000
Accounts payable4,000,000(49,000,000)51,000,000
Customer deposits(37,000,000)(88,000,000)22,000,000
Income taxes(111,000,000)(215,000,000)(129,000,000)
Interest and other taxes1,000,000(21,000,000)7,000,000
Other current liabilities67,000,00032,000,00022,000,000
Other liabilities(21,000,000)(60,000,000)(21,000,000)
Net cash provided by operating activities2,823,000,0002,245,000,0001,934,000,000
 
Capital expenditures(4,070,000,000)(3,137,000,000)(2,605,000,000)
Cash grants under the American Recovery and Reinvestment Act of 20090218,000,000161,000,000
Funds received from a spent fuel settlement31,000,00057,000,00032,000,000
Nuclear fuel purchases(215,000,000)(365,000,000)(101,000,000)
Proceeds from sale or maturity of securities in special use funds3,790,000,0002,988,000,0005,079,000,000
Purchases of securities in special use funds(3,838,000,000)(3,052,000,000)(5,160,000,000)
Other - net37,000,00032,000,00033,000,000
Net cash used in investing activities(4,265,000,000)(3,259,000,000)(2,561,000,000)
 
Issuances of long-term debt1,296,000,000840,000,000924,000,000
Retirements of long-term debt(50,000,000)(45,000,000)(42,000,000)
Net change in short-term debt(225,000,000)229,000,000(717,000,000)
Capital contributions from NEE440,000,000410,000,000660,000,000
Dividends on common stock0(400,000,000)(250,000,000)
Other - net(15,000,000)(4,000,000)(11,000,000)
Net cash provided by (used in) financing activities1,446,000,0001,030,000,000564,000,000
 
Net increase (decrease) in cash and cash equivalents4,000,00016,000,000(63,000,000)
 
Cash and cash equivalents at beginning of year40,000,00020,000,00020,000,000
Cash and cash equivalents at end of year40,000,00020,000,00020,000,000
 
Cash paid for interest (net of amount capitalized)400,000,000389,000,000321,000,000
Cash paid (received) for income taxes - net(124,000,000)194,000,000291,000,000
Accrued property additions472,000,000526,000,000275,000,000
10-K.Info (Beta Test)
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NEXTERA ENERGY INC

Ticker: NEE   Fiscal Year: 2012

CONSOLIDATED BALANCE SHEETS

Period Ending Dec 31, 2012 10-K (Filed: Feb 28, 2013)

(In Dollars)
 As ofAs of
 Dec 31, 2012Dec 31, 2011
PROPERTY, PLANT AND EQUIPMENT
Electric plant in service and other property
$
57,054,000,000
50,768,000,000
Nuclear fuel1,895,000,0001,795,000,000
Construction work in progress5,968,000,0004,989,000,000
Less accumulated depreciation and amortization(15,504,000,000)(15,062,000,000)
Total property, plant and equipment - net49,413,000,00042,490,000,000
ELECTRIC UTILITY PLANT
CURRENT ASSETS
Cash and cash equivalents329,000,000377,000,000
Customer receivables, net of allowances1,487,000,0001,372,000,000
Other receivables569,000,000430,000,000
Materials, supplies and fossil fuel inventory1,073,000,0001,074,000,000
Regulatory assets:
Deferred clause and franchise expenses75,000,000112,000,000
Derivatives16,000,000502,000,000
Other97,000,00084,000,000
Derivatives517,000,000611,000,000
Deferred income taxes397,000,000 [1]10,000,000
Assets Held-for-sale335,000,0000
Other342,000,000300,000,000
Total current assets5,237,000,0004,872,000,000
 
OTHER ASSETS
Special use funds4,190,000,0003,867,000,000
Other investments976,000,000907,000,000
Prepaid benefit costs1,031,000,0001,021,000,000
Regulatory assets:
Securitized storm-recovery costs461,000,000517,000,000
Other582,000,000621,000,000
Derivatives920,000,000973,000,000
Other1,629,000,0001,920,000,000
Total other assets9,789,000,0009,826,000,000
 
TOTAL ASSETS64,439,000,00057,188,000,000
 
CAPITALIZATION
Common stock4,000,0004,000,000
Additional paid-in capital5,536,000,0005,217,000,000
Retained earnings10,783,000,0009,876,000,000
Accumulated Other Comprehensive Income (Loss), Net of Tax(255,000,000)(154,000,000)
Total common shareholders' equity16,068,000,00014,943,000,000
 
Long-term debt23,177,000,00020,810,000,000
Total capitalization39,245,000,00035,753,000,000
 
CURRENT LIABILITIES
Commercial Paper1,211,000,0001,349,000,000
Short-term Debt200,000,0000
Current maturities of long-term debt2,771,000,000808,000,000
Accounts payable1,281,000,0001,191,000,000
Customer deposits508,000,000547,000,000
Accrued interest and taxes414,000,000464,000,000
Derivatives430,000,000 [2]1,090,000,000
Accrued construction-related expenditures427,000,000518,000,000
Liabilities associated with Assets Held-for-sale733,000,0000
Other904,000,000752,000,000
Total current liabilities8,879,000,0006,719,000,000
 
OTHER LIABILITIES AND DEFERRED CREDITS
Asset retirement obligations1,715,000,0001,611,000,000
Accumulated deferred income taxes6,703,000,0005,681,000,000
Regulatory liabilities:
Accrued asset removal costs1,950,000,0002,197,000,000
Asset retirement obligation regulatory expense difference1,813,000,0001,640,000,000
Other309,000,000419,000,000
Derivatives587,000,000 [3]541,000,000
Deferral related to differential membership interests - VIEs1,784,000,0001,203,000,000
Other1,454,000,0001,424,000,000
Total other liabilities and deferred credits16,315,000,00014,716,000,000
 
TOTAL CAPITALIZATION AND LIABILITIES64,439,000,00057,188,000,000
 
Legal Entity
FPL
Plant in service and other property34,474,000,00031,564,000,000
Nuclear fuel1,190,000,0001,005,000,000
Construction work in progress2,585,000,0002,601,000,000
Less accumulated depreciation and amortization(10,698,000,000)(10,916,000,000)
Electric utility plant - net27,551,000,00024,254,000,000
 
Cash and cash equivalents40,000,00036,000,000
Customer receivables, net of allowances760,000,000682,000,000
Other receivables447,000,000312,000,000
Materials, supplies and fossil fuel inventory727,000,000759,000,000
Deferred clause and franchise expenses75,000,000112,000,000
Derivatives16,000,000502,000,000
Other90,000,00080,000,000
Deferred income taxes00
Other131,000,000166,000,000
Total current assets2,286,000,0002,649,000,000
 
Special use funds2,918,000,0002,737,000,000
Prepaid benefit costs1,135,000,0001,088,000,000
Securitized storm-recovery costs461,000,000517,000,000
Other351,000,000395,000,000
Other151,000,000176,000,000
Total other assets5,016,000,0004,913,000,000
 
TOTAL ASSETS34,853,000,00031,816,000,000
 
Common stock1,373,000,0001,373,000,000
Additional paid-in capital5,903,000,0005,464,000,000
Retained earnings5,254,000,0004,013,000,000
Total common shareholders' equity12,530,000,00010,850,000,000
 
Long-term debt8,329,000,0007,483,000,000
Total capitalization20,859,000,00018,333,000,000
 
Commercial Paper105,000,000330,000,000
Current maturities of long-term debt453,000,00050,000,000
Accounts payable612,000,000678,000,000
Customer deposits503,000,000541,000,000
Accrued interest and taxes223,000,000221,000,000
Derivatives20,000,000512,000,000
Accrued construction-related expenditures235,000,000261,000,000
Other475,000,000373,000,000
Total current liabilities2,626,000,0002,966,000,000
 
Asset retirement obligations1,206,000,0001,144,000,000
Accumulated deferred income taxes5,584,000,0004,593,000,000
Accrued asset removal costs1,950,000,0002,197,000,000
Asset retirement obligation regulatory expense difference1,813,000,0001,640,000,000
Other309,000,000416,000,000
Derivatives01,000,000 [4]
Other506,000,000527,000,000
Total other liabilities and deferred credits11,368,000,00010,517,000,000
 
TOTAL CAPITALIZATION AND LIABILITIES34,853,000,00031,816,000,000
 
[3] At December 31, 2011, NEE's balance reflects the netting of approximately $79 million (none at FPL) in margin cash collateral provided to counterparties.
[4] Included in noncurrent other liabilities on FPL's consolidated balance sheets.
[1] NEE expects to reclassify approximately $430 million of federal operating loss carryforwards from current deferred income taxes to noncurrent deferred income taxes in the first quarter of 2013 as a result of increased tax depreciation deductions available under the American Taxpayer Relief Act of 2012, which was enacted in January 2013.
[2] At December 31, 2012 and 2011, NEE's balances reflect the netting of approximately $79 million and $112 million (none at FPL), respectively, in margin cash collateral provided to counterparties.
External Links 
NEXTERA ENERGY INC (NEE) Fiscal Year 2012
Statements of 10-K in Excel https://www.sec.gov/.../Financial.xlxs
Complete 10-K in HTML https://www.sec.gov/.../10-K.html
Complete 10-K in XBRL https://www.sec.gov/.../10-K-xbrl.zip