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BORROWINGS - Corporate Borrowings (Details)
$ in Millions
12 Months Ended
Apr. 25, 2022
USD ($)
May 24, 2021
USD ($)
Dec. 31, 2023
USD ($)
renewal
Jul. 27, 2023
CAD ($)
Dec. 31, 2022
USD ($)
Nov. 14, 2022
CAD ($)
Apr. 25, 2022
CAD ($)
Feb. 24, 2021
USD ($)
Disclosure of detailed information about borrowings [line items]                
Credit facility, maximum borrowing capacity     $ 528,000,000          
Deferred financing costs and other     (21,000,000)   $ (23,000,000)      
Current and non-current portion of corporate borrowings     4,911,000,000   3,666,000,000      
Notional Amount (U.S. Dollars)     21,276,000,000   12,570,000,000      
Commercial papers issued     989,000,000   464,000,000      
Corporate Revolving Credit Facility                
Disclosure of detailed information about borrowings [line items]                
Total     $ 222,000,000   96,000,000      
Corporate Revolving Credit Facility | Floating interest rate                
Disclosure of detailed information about borrowings [line items]                
Borrowings, adjustment to interest rate basis     1.20%          
Borrowings, adjustment to interest rate basis     1.20%          
Commercial Paper Program                
Disclosure of detailed information about borrowings [line items]                
Total     $ 989,000,000   464,000,000      
Commercial Paper Program | Establishment of Commercial Paper Program                
Disclosure of detailed information about borrowings [line items]                
Commercial papers issued               $ 1,000,000,000
Commercial Paper Program | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate     6.10%          
Medium Term Notes, Public - Canadian - Maturing February 22, 2024                
Disclosure of detailed information about borrowings [line items]                
Total     $ 226,000,000   222,000,000      
Medium Term Notes, Public - Canadian - Maturing February 22, 2024 | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate     3.30%          
Medium Term Notes, Public - Canadian - Maturing February 22, 2024                
Disclosure of detailed information about borrowings [line items]                
Total     $ 302,000,000   295,000,000      
Medium Term Notes, Public - Canadian - Maturing February 22, 2024 | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate     3.30%          
Medium-term Notes, Maturing November 31, 2027                
Disclosure of detailed information about borrowings [line items]                
Total     $ 340,000,000   332,000,000      
Medium-term Notes, Maturing November 31, 2027 | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate     5.60%          
Medium-term Notes, Maturing September 11, 2028                
Disclosure of detailed information about borrowings [line items]                
Total     $ 528,000,000   517,000,000      
Medium-term Notes, Maturing September 11, 2028 | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate     4.20%          
Medium-term Notes, Maturing October 9, 2029                
Disclosure of detailed information about borrowings [line items]                
Total     $ 528,000,000   517,000,000      
Medium-term Notes, Maturing October 9, 2029 | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate     3.40%          
Medium-term Notes, Maturing July 27, 2030                
Disclosure of detailed information about borrowings [line items]                
Total     $ 377,000,000   0      
Notional Amount (U.S. Dollars)       $ 700        
Medium-term Notes, Maturing July 27, 2030 | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate     5.70%          
Medium-term Notes, Maturing July 27, 2030 Tranche One                
Disclosure of detailed information about borrowings [line items]                
Notional Amount (U.S. Dollars)       $ 500        
Medium-term Notes, Maturing July 27, 2030 Tranche One | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate       5.71%        
Medium-term Notes, Maturing July 27, 2030 Tranche Two                
Disclosure of detailed information about borrowings [line items]                
Notional Amount (U.S. Dollars)       $ 200        
Medium-term Notes, Maturing July 27, 2030 Tranche Two | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate       5.95%        
Medium-term Notes, Maturing September 1, 2032                
Disclosure of detailed information about borrowings [line items]                
Total     $ 377,000,000   369,000,000      
Medium-term Notes, Maturing September 1, 2032 | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate     2.90%          
Medium-term Notes, Maturing February 13, 2033                
Disclosure of detailed information about borrowings [line items]                
Total     $ 189,000,000   185,000,000      
Medium-term Notes, Maturing February 13, 2033 | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate     6.00%          
Medium-term Notes, Maturing April 25, 2034                
Disclosure of detailed information about borrowings [line items]                
Total     $ 302,000,000   295,000,000      
Notional Amount (U.S. Dollars)             $ 600  
Finance costs $ 3,000,000              
Medium-term Notes, Maturing April 25, 2034 | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate     5.40%          
Medium-term Notes, Maturing April 25, 2052                
Disclosure of detailed information about borrowings [line items]                
Total     $ 151,000,000   147,000,000      
Medium-term Notes, Maturing April 25, 2052 | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate     5.80%          
Medium-term Notes, Maturing July 27, 2053                
Disclosure of detailed information about borrowings [line items]                
Total     $ 151,000,000   0      
Medium-term Notes, Maturing July 27, 2053 | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate     6.00%          
Subordinated notes, Maturing 2081                
Disclosure of detailed information about borrowings [line items]                
Annual rate   5.00%            
Total   $ 250,000,000 $ 250,000,000   250,000,000      
Debt issuance costs   $ 6,000,000            
Subordinated notes, Maturing 2081 | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate     5.00%          
Corporate borrowings                
Disclosure of detailed information about borrowings [line items]                
Total     $ 4,932,000,000   3,689,000,000      
Increase (decrease) in corporate borrowings     1,245,000,000          
Corporate revolving credit facility                
Disclosure of detailed information about borrowings [line items]                
Credit facility, maximum borrowing capacity     $ 2,200,000,000   2,100,000,000      
Basis points     0.0013          
Total         96,000,000      
Letter of credit outstanding amount     $ 8,000,000   12,000,000      
Corporate revolving credit facility | Floating interest rate                
Disclosure of detailed information about borrowings [line items]                
Borrowings, adjustment to interest rate basis     1.20%          
Borrowings, adjustment to interest rate basis     1.20%          
Revolving credit facility with Brookfield                
Disclosure of detailed information about borrowings [line items]                
Credit facility, maximum borrowing capacity     $ 1,000,000,000   1,000,000,000      
Total     $ 0   $ 0      
Borrowings renewal | renewal     8          
Borrowings, term     1 year          
Revolving credit facility with Brookfield | Floating interest rate                
Disclosure of detailed information about borrowings [line items]                
Borrowings, adjustment to interest rate basis     1.90%          
Borrowings, adjustment to interest rate basis     1.90%          
Medium-term Notes, Maturing November 14, 2027                
Disclosure of detailed information about borrowings [line items]                
Notional Amount (U.S. Dollars)           $ 700    
Medium-term Notes, Maturing November 14, 2027 Tranche One                
Disclosure of detailed information about borrowings [line items]                
Notional Amount (U.S. Dollars)           $ 450    
Medium-term Notes, Maturing November 14, 2027 Tranche One | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate           5.616%    
Medium-term Notes, Maturing November 14, 2027 Tranche Two                
Disclosure of detailed information about borrowings [line items]                
Notional Amount (U.S. Dollars)           $ 250    
Medium-term Notes, Maturing November 14, 2027 Tranche Two | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate           5.98%    
Medium-term Notes, Maturing April 25, 2034 Tranche One                
Disclosure of detailed information about borrowings [line items]                
Notional Amount (U.S. Dollars)             $ 400  
Medium-term Notes, Maturing April 25, 2034 Tranche One | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate             5.439%  
Medium-term Notes, Maturing April 25, 2034 Tranche Two                
Disclosure of detailed information about borrowings [line items]                
Notional Amount (U.S. Dollars)             $ 200  
Medium-term Notes, Maturing April 25, 2034 Tranche Two | Fixed interest rate                
Disclosure of detailed information about borrowings [line items]                
Annual rate             5.789%