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PROPERTY, PLANT AND EQUIPMENT (Details) - USD ($)
$ in Millions
6 Months Ended 12 Months Ended
Jan. 01, 2026
Jun. 30, 2026
Dec. 31, 2025
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance $ 66,797 $ 66,797  
Ending balance   63,692 $ 66,797
Property, plant and equipment 1,100    
Increase (decrease) in property, plant and equipment 1,000    
Current lease liabilities   586  
Non-current lease liabilities   3,719  
Utilities      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance 9,539 9,539  
Ending balance   9,526 9,539
Right-of-use assets   270  
Transport      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance 15,417 15,417  
Ending balance   15,792 15,417
Right-of-use assets   702  
Midstream      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance 26,031 26,031  
Ending balance   25,132 26,031
Right-of-use assets   297  
Data      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance 15,810 15,810  
Ending balance   13,242 15,810
Right-of-use assets   2,817  
Gross carrying amount:      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance 71,341 71,341 54,700
Acquisitions through business combinations     11,854
Additions, net of disposals   2,655 5,095
Assets held by subsidiaries disposed during the period   (2,324) (814)
Non-cash (disposals) additions   (207) 223
Assets reclassified as held for sale   1,300 (736)
Net foreign currency exchange differences   (1,080) 1,019
Ending balance   69,085 71,341
Gross carrying amount: | Utilities      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance 9,693 9,693 8,567
Acquisitions through business combinations     104
Additions, net of disposals   310 583
Assets held by subsidiaries disposed during the period   0 (1)
Non-cash (disposals) additions   (24) 0
Assets reclassified as held for sale   0 0
Net foreign currency exchange differences   (157) 440
Ending balance   9,822 9,693
Gross carrying amount: | Transport      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance 17,845 17,845 17,574
Acquisitions through business combinations     0
Additions, net of disposals   1,384 1,365
Assets held by subsidiaries disposed during the period   (24) (807)
Non-cash (disposals) additions   (15) 117
Assets reclassified as held for sale   988 (736)
Net foreign currency exchange differences   58 332
Ending balance   18,260 17,845
Gross carrying amount: | Midstream      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance 25,182 25,182 14,744
Acquisitions through business combinations     8,898
Additions, net of disposals   356 804
Assets held by subsidiaries disposed during the period   0 (1)
Non-cash (disposals) additions   (81) 27
Assets reclassified as held for sale   312 0
Net foreign currency exchange differences   (497) 710
Ending balance   24,648 25,182
Gross carrying amount: | Data      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance 18,621 18,621 13,815
Acquisitions through business combinations     2,852
Additions, net of disposals   605 2,343
Assets held by subsidiaries disposed during the period   (2,300) (5)
Non-cash (disposals) additions   (87) 79
Assets reclassified as held for sale   0 0
Net foreign currency exchange differences   (484) (463)
Ending balance   16,355 18,621
Accumulated depreciation:      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance (11,755) (11,755) (9,260)
Assets held by subsidiaries disposed during the period   60 366
Non-cash (disposals) additions   121 163
Assets reclassified as held for sale   340 268
Net foreign currency exchange differences   200 (254)
Depreciation expense   (1,673) (3,114)
Disposals   104 76
Ending balance   (12,603) (11,755)
Accumulated depreciation: | Utilities      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance (2,492) (2,492) (2,068)
Assets held by subsidiaries disposed during the period   0 1
Non-cash (disposals) additions   24 43
Assets reclassified as held for sale   0 0
Net foreign currency exchange differences   48 (87)
Depreciation expense   (224) (429)
Disposals   22 48
Ending balance   (2,622) (2,492)
Accumulated depreciation: | Transport      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance (3,637) (3,637) (3,284)
Assets held by subsidiaries disposed during the period   18 363
Non-cash (disposals) additions   38 34
Assets reclassified as held for sale   282 268
Net foreign currency exchange differences   (29) (145)
Depreciation expense   (401) (897)
Disposals   15 24
Ending balance   (3,714) (3,637)
Accumulated depreciation: | Midstream      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance (2,803) (2,803) (1,946)
Assets held by subsidiaries disposed during the period   0 0
Non-cash (disposals) additions   19 29
Assets reclassified as held for sale   58 0
Net foreign currency exchange differences   79 (106)
Depreciation expense   (498) (781)
Disposals   1 1
Ending balance   (3,144) (2,803)
Accumulated depreciation: | Data      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance (2,823) (2,823) (1,962)
Assets held by subsidiaries disposed during the period   42 2
Non-cash (disposals) additions   40 57
Assets reclassified as held for sale   0 0
Net foreign currency exchange differences   102 84
Depreciation expense   (550) (1,007)
Disposals   66 3
Ending balance   (3,123) (2,823)
Accumulated fair value adjustments:      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance 7,211 7,211 5,407
Assets held by subsidiaries disposed during the period     (276)
Net foreign currency exchange differences   (1) 277
Fair value adjustments     1,803
Ending balance   7,210 7,211
Accumulated fair value adjustments: | Utilities      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance 2,338 2,338 1,969
Assets held by subsidiaries disposed during the period     0
Net foreign currency exchange differences   (12) 171
Fair value adjustments     198
Ending balance   2,326 2,338
Accumulated fair value adjustments: | Transport      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance 1,209 1,209 1,393
Assets held by subsidiaries disposed during the period     (276)
Net foreign currency exchange differences   37 90
Fair value adjustments     2
Ending balance   1,246 1,209
Accumulated fair value adjustments: | Midstream      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance 3,652 3,652 2,033
Assets held by subsidiaries disposed during the period     0
Net foreign currency exchange differences   (24) 16
Fair value adjustments     1,603
Ending balance   3,628 3,652
Accumulated fair value adjustments: | Data      
Reconciliation of changes in property, plant and equipment [abstract]      
Beginning balance $ 12 12 12
Assets held by subsidiaries disposed during the period     0
Net foreign currency exchange differences   (2) 0
Fair value adjustments     0
Ending balance   $ 10 $ 12