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Risk Management Activities (Tables)
12 Months Ended
Dec. 31, 2022
Risk Management Activities [Abstract]  
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value
Risk management assets and liabilities on our derivatives are presented on the Consolidated Balance Sheets as shown below:
December 31, 2022December 31, 2021
(in millions)Assets LiabilitiesAssetsLiabilities
Current(1)
Derivatives designated as hedging instruments$ $ $— $136.4 
Derivatives not designated as hedging instruments18.81.110.60.4
Total$18.8 $1.1 $10.6 $136.8 
Noncurrent(2)
Derivatives designated as hedging instruments$ $ $— $— 
Derivatives not designated as hedging instruments66.01.913.87.4
Total$66.0 $1.9 $13.8 $7.4 
(1) Presented in "Prepayments and other" and "Other accruals", respectively, on the Consolidated Balance Sheets.
(2) Presented in "Deferred charges and other" and "Other noncurrent liabilities", respectively, on the Consolidated Balance Sheets.
Reclassification out of Accumulated Other Comprehensive Income
Cash flow hedges included in "Accumulated other comprehensive loss" on the Consolidated Balance Sheets were:
(in millions)
AOCI(1)
Gain Expected to be Reclassified to Earnings During the Next 12 Months(1)
Maximum Term
Interest Rate$(12.6)(0.3)353 months
(1) All amounts are net of tax.