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PROPERTY, PLANT AND EQUIPMENT (Details) - USD ($)
$ in Millions
6 Months Ended 12 Months Ended
Jun. 30, 2024
Dec. 31, 2023
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance $ 48,546  
Current lease liabilities 478  
Non-current lease liabilities 3,942  
Ending balance 50,316 $ 48,546
Utilities    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 8,336  
Right-of-use assets 248  
Ending balance 8,346 8,336
Transport    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 17,671  
Right-of-use assets 916  
Ending balance 17,310 17,671
Data Infrastructure    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 7,839  
Right-of-use assets 3,027  
Ending balance 10,439 7,839
Midstream    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 14,700  
Right-of-use assets 322  
Ending balance 14,221 14,700
Gross Carrying Amount:    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 51,634 39,478
Additions, net of disposals 1,825 1,795
Acquisitions through business combinations 2,444 8,964
Assets held by subsidiaries disposed during the period   (104)
Non-cash disposals (464) 787
Assets held by subsidiaries disposed during the period (141)  
Net foreign currency exchange differences (641) 714
Ending balance 54,657 51,634
Gross Carrying Amount: | Utilities    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 8,263 7,277
Additions, net of disposals 229 519
Acquisitions through business combinations 0 118
Assets held by subsidiaries disposed during the period   0
Non-cash disposals 31 28
Assets held by subsidiaries disposed during the period 0  
Net foreign currency exchange differences (93) 321
Ending balance 8,430 8,263
Gross Carrying Amount: | Transport    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 18,880 9,337
Additions, net of disposals 481 591
Acquisitions through business combinations 0 8,811
Assets held by subsidiaries disposed during the period   (59)
Non-cash disposals (182) 74
Assets held by subsidiaries disposed during the period (141)  
Net foreign currency exchange differences (94) 126
Ending balance 18,944 18,880
Gross Carrying Amount: | Data Infrastructure    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 9,086 8,185
Additions, net of disposals 832 226
Acquisitions through business combinations 2,444 35
Assets held by subsidiaries disposed during the period   0
Non-cash disposals (292) 692
Net foreign currency exchange differences (2) (52)
Ending balance 12,068 9,086
Gross Carrying Amount: | Midstream    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 15,405 14,679
Additions, net of disposals 283 459
Acquisitions through business combinations 0 0
Assets held by subsidiaries disposed during the period   (45)
Non-cash disposals (21) (7)
Assets held by subsidiaries disposed during the period 0  
Net foreign currency exchange differences (452) 319
Ending balance 15,215 15,405
Gross Carrying Amount: | Data    
Reconciliation of changes in property, plant and equipment [abstract]    
Assets held by subsidiaries disposed during the period 0  
Accumulated depreciation:    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance (7,223) (5,396)
Assets held by subsidiaries disposed during the period   17
Non-cash disposals 20 184
Assets held by subsidiaries disposed during the period 38  
Net foreign currency exchange differences 107 (132)
Depreciation expense (1,409) (1,969)
Disposals 41 73
Ending balance (8,426) (7,223)
Accumulated depreciation: | Utilities    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance (1,834) (1,454)
Assets held by subsidiaries disposed during the period   0
Non-cash disposals 11 19
Assets held by subsidiaries disposed during the period 0  
Net foreign currency exchange differences 25 (60)
Depreciation expense (207) (392)
Disposals 40 53
Ending balance (1,965) (1,834)
Accumulated depreciation: | Transport    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance (2,604) (2,040)
Assets held by subsidiaries disposed during the period   17
Non-cash disposals 20 45
Assets held by subsidiaries disposed during the period 38  
Net foreign currency exchange differences 36 (45)
Depreciation expense (497) (601)
Disposals 1 20
Ending balance (3,006) (2,604)
Accumulated depreciation: | Data Infrastructure    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance (1,247) (920)
Assets held by subsidiaries disposed during the period   0
Non-cash disposals (13) 90
Net foreign currency exchange differences 2 2
Depreciation expense (371) (419)
Disposals 0 0
Ending balance (1,629) (1,247)
Accumulated depreciation: | Midstream    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance (1,538) (982)
Assets held by subsidiaries disposed during the period   0
Non-cash disposals 2 30
Assets held by subsidiaries disposed during the period 0  
Net foreign currency exchange differences 44 (29)
Depreciation expense (334) (557)
Disposals 0 0
Ending balance (1,826) (1,538)
Accumulated depreciation: | Data    
Reconciliation of changes in property, plant and equipment [abstract]    
Assets held by subsidiaries disposed during the period 0  
Accumulated fair value adjustments:    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 4,135 3,209
Net foreign currency exchange differences (50) 141
Fair value adjustments   785
Ending balance 4,085 4,135
Accumulated fair value adjustments: | Utilities    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 1,907 1,639
Net foreign currency exchange differences (26) 125
Fair value adjustments   143
Ending balance 1,881 1,907
Accumulated fair value adjustments: | Transport    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 1,395 1,048
Net foreign currency exchange differences (23) 17
Fair value adjustments   330
Ending balance 1,372 1,395
Accumulated fair value adjustments: | Data Infrastructure    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 0 0
Net foreign currency exchange differences 0 0
Fair value adjustments   0
Ending balance 0 0
Accumulated fair value adjustments: | Midstream    
Reconciliation of changes in property, plant and equipment [abstract]    
Beginning balance 833 522
Net foreign currency exchange differences (1) (1)
Fair value adjustments   312
Ending balance $ 832 $ 833