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Fair Value Measurements (Details 1) - Level 3 - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
NUG contracts    
Reconciliation of changes in the fair value of NUG contracts    
Beginning Balance, Derivative Assets $ 0 $ 1
Beginning Balance, Derivative Liabilities (79) (108)
Beginning Balance, Net (79) (107)
Unrealized gain (loss), Derivative Assets 0 0
Unrealized gain (loss), Derivative Liabilities 2 (10)
Unrealized gain (loss), Net 2 (10)
Purchases, Derivative Assets 0 0
Purchases, Derivative Liabilities 0 0
Purchases, Net 0 0
Settlements, Derivative Assets 0 (1)
Settlements, Derivative Liabilities 33 39
Settlements, Net 33 38
Ending Balance, Derivative Assets 0 0
Ending Balance, Derivative Liabilities (44) (79)
Ending Balance, Net (44) (79)
FTRs    
Reconciliation of changes in the fair value of NUG contracts    
Beginning Balance, Derivative Assets 3 3
Beginning Balance, Derivative Liabilities 0 (1)
Beginning Balance, Net 3 2
Unrealized gain (loss), Derivative Assets 8 1
Unrealized gain (loss), Derivative Liabilities 1 (1)
Unrealized gain (loss), Net 9 0
Purchases, Derivative Assets 5 3
Purchases, Derivative Liabilities (5) 0
Purchases, Net 0 3
Settlements, Derivative Assets (6) (4)
Settlements, Derivative Liabilities 3 2
Settlements, Net (3) (2)
Ending Balance, Derivative Assets 10 3
Ending Balance, Derivative Liabilities (1) 0
Ending Balance, Net $ 9 $ 3