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Derivatives and Risk Management Activities - Fair Value (Details) - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2019
Mar. 31, 2018
Dec. 31, 2018
Level 3      
Rollforward of Level 3 Net Asset/(Liability)      
Beginning Balance $ (24) $ (30)  
Net gains/(losses) for the period included in earnings 23 (1)  
Settlements (10) 5  
Derivatives entered into during the period 1    
Ending Balance (10) (26)  
Change in unrealized gains/(losses) included in earnings relating to Level 3 derivatives still held at the end of the period 24 $ (1)  
Recurring Fair Value Measures      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) 309   $ 218
Recurring Fair Value Measures | Commodity Derivatives      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) 353   270
Recurring Fair Value Measures | Interest Rate Derivatives      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) (30)   (7)
Recurring Fair Value Measures | Foreign Currency Derivatives      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) (1)   (9)
Recurring Fair Value Measures | Preferred Distribution Rate Reset Option      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) (13)   (36)
Recurring Fair Value Measures | Level 1      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) 306   171
Recurring Fair Value Measures | Level 1 | Commodity Derivatives      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) 306   171
Recurring Fair Value Measures | Level 2      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) 13   71
Recurring Fair Value Measures | Level 2 | Commodity Derivatives      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) 44   87
Recurring Fair Value Measures | Level 2 | Interest Rate Derivatives      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) (30)   (7)
Recurring Fair Value Measures | Level 2 | Foreign Currency Derivatives      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) (1)   (9)
Recurring Fair Value Measures | Level 3      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) (10)   (24)
Recurring Fair Value Measures | Level 3 | Commodity Derivatives      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) 3   12
Recurring Fair Value Measures | Level 3 | Preferred Distribution Rate Reset Option      
Recurring Fair Value Measurements      
Total net derivative asset/(liability) $ (13)   $ (36)