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Pension and Other Postretirement Benefits (Additional Information About Pension Plan Assets Valued Using Net Asset Value) (Details) - Fair Value Measured at Net Asset Value Per Share - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Investment funds – fixed income    
Defined Benefit Plans and Other Postretirement Benefit Plans Table Text Block [Line Items]    
Defined benefit plan assets at fair value $ 137 $ 137
Redemption Notice Period 10 days  
Investment funds – global equity    
Defined Benefit Plans and Other Postretirement Benefit Plans Table Text Block [Line Items]    
Defined benefit plan assets at fair value $ 167 141
Investment funds – emerging markets    
Defined Benefit Plans and Other Postretirement Benefit Plans Table Text Block [Line Items]    
Defined benefit plan assets at fair value $ 7 $ 7
Redemption Notice Period 30 days 30 days
Hedge funds    
Defined Benefit Plans and Other Postretirement Benefit Plans Table Text Block [Line Items]    
Defined benefit plan assets at fair value   $ 109
Minimum | Investment funds – fixed income    
Defined Benefit Plans and Other Postretirement Benefit Plans Table Text Block [Line Items]    
Redemption Notice Period 1 day 1 day
Minimum | Hedge funds    
Defined Benefit Plans and Other Postretirement Benefit Plans Table Text Block [Line Items]    
Redemption Notice Period   1 day
Maximum | Investment funds – fixed income    
Defined Benefit Plans and Other Postretirement Benefit Plans Table Text Block [Line Items]    
Redemption Notice Period 5 days 5 days
Maximum | Hedge funds    
Defined Benefit Plans and Other Postretirement Benefit Plans Table Text Block [Line Items]    
Redemption Notice Period   30 days