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Financial Instrument Risk Management - Key Macroeconomic Assumptions (Details) - $ / bbl
Dec. 31, 2024
Dec. 31, 2023
For the three months ended December 31, 2024 | U.S.    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product 2963300000000000.00% 2253800000000.00%
Unemployment Rate 4.20% 3.80%
BBB Bonds Spreads 1.20% 1.90%
For the three months ended December 31, 2024 | Canada    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product 239600000000000.00% 220100000000.00%
Unemployment Rate 6.70% 5.80%
Oil Price (in dollars per barrel) 76.10 85.60
Under 1 Year | U.S. | Base Case    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product 4.20% 1.30%
Unemployment Rate 4.10% 4.00%
BBB Bonds Spreads 1.90% 2.20%
Under 1 Year | U.S. | Upside    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product 5.80% 3.50%
Unemployment Rate 3.30% 3.10%
BBB Bonds Spreads 1.60% 1.90%
Under 1 Year | U.S. | Downside    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product (0.40%) (2.40%)
Unemployment Rate 7.30% 6.70%
BBB Bonds Spreads 2.60% 3.10%
Under 1 Year | Canada | Base Case    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product 1.90% 1.60%
Unemployment Rate 6.80% 6.00%
Oil Price (in dollars per barrel) 74.60 82.10
Under 1 Year | Canada | Upside    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product 3.30% 3.60%
Unemployment Rate 6.50% 5.20%
Oil Price (in dollars per barrel) 79.20 84.70
Under 1 Year | Canada | Downside    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product (1.90%) (2.10%)
Unemployment Rate 8.10% 8.20%
Oil Price (in dollars per barrel) 58.90 65.60
Remaining forecast period | U.S. | Base Case    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product 4.30% 2.20%
Unemployment Rate 4.00% 4.00%
BBB Bonds Spreads 2.00% 2.10%
Remaining forecast period | U.S. | Upside    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product 4.60% 2.40%
Unemployment Rate 3.30% 3.30%
BBB Bonds Spreads 2.00% 2.10%
Remaining forecast period | U.S. | Downside    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product 3.80% 2.50%
Unemployment Rate 7.20% 6.70%
BBB Bonds Spreads 2.10% 2.10%
Remaining forecast period | Canada | Base Case    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product 2.00% 1.90%
Unemployment Rate 6.50% 5.90%
Oil Price (in dollars per barrel) 72.10 71.40
Remaining forecast period | Canada | Upside    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product 2.60% 2.30%
Unemployment Rate 6.00% 4.80%
Oil Price (in dollars per barrel) 74.60 71.80
Remaining forecast period | Canada | Downside    
Disclosure of credit risk exposure [line items]    
Gross Domestic Product 1.90% 1.60%
Unemployment Rate 9.30% 8.60%
Oil Price (in dollars per barrel) 62.60 61.00