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RISK MANAGEMENT AND FINANCIAL INSTRUMENTS - LIQUIDITY AND CREDIT RISK (Details) - CAD
CAD in Millions
6 Months Ended 12 Months Ended
Jun. 30, 2017
Dec. 31, 2016
LIQUIDITY RISK AND CREDIT RISK    
Rolling time period over which the Company forecasts cash requirements 12 months  
Period of anticipated requirements for which the Company maintains sufficient liquidity through committed credit facilities 1 year  
Period after which receivables are classified as past due 30 days  
Derivative instruments    
LIQUIDITY RISK AND CREDIT RISK    
Maximum credit exposure with respect to derivative instruments CAD 401 CAD 487
Letters of credit provided in lieu of providing cash collateral to counterparties 198  
Cash collateral on asset exposure 0 0
Derivative instruments | Canadian financial institutions    
LIQUIDITY RISK AND CREDIT RISK    
Maximum credit exposure with respect to derivative instruments 56 39
Derivative instruments | United States financial institutions    
LIQUIDITY RISK AND CREDIT RISK    
Maximum credit exposure with respect to derivative instruments 82 179
Derivative instruments | European financial institutions    
LIQUIDITY RISK AND CREDIT RISK    
Maximum credit exposure with respect to derivative instruments 133 106
Derivative instruments | Asian financial institutions    
LIQUIDITY RISK AND CREDIT RISK    
Maximum credit exposure with respect to derivative instruments 4 1
Derivative instruments | Other    
LIQUIDITY RISK AND CREDIT RISK    
Maximum credit exposure with respect to derivative instruments CAD 126 CAD 162