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Financial Instruments and Risk Management (Market Risk - Terms of Derivative Financial Instruments Used to Hedge Interest Risk) (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
SWAP contracts from variable interest to fixed interest [Member]    
Disclosure of detailed information about hedges [Line Items]    
Carrying amount (fair value)   $ (7)
Stated amount   $ 150
Maturity date (in years)   2024
Interest rate range   2.47%-2.60%
SWAP contracts from fixed ILS interest to fixed USD interest [Member]    
Disclosure of detailed information about hedges [Line Items]    
Carrying amount (fair value) $ 23 $ 119
Stated amount $ 462 $ 579
Maturity date (in years) 2024-2034 2034
Interest rate range 2.4-4.74 2.40%-4.74%