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Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2024
Fair Value Disclosures [Abstract]  
Schedule of Fair Value of Assets and Liabilities Measured on Recurring Basis
The following tables present information (in millions) about our assets and liabilities recognized at their fair values in our balance sheets categorized according to the fair value hierarchy of the inputs utilized by us to determine the fair values as of September 30, 2024 and December 31, 2023.

We have elected to offset the fair value amounts recognized for multiple similar derivative contracts executed with the same counterparty, including any related cash collateral assets or obligations as shown below; however, fair value amounts by hierarchy level are presented in the following tables on a gross basis. We have no derivative contracts that are subject to master netting arrangements that are reflected gross in our balance sheets.
September 30, 2024
Total
Gross
Fair
Value
Effect of
Counter-
party
Netting
Effect of
Cash
Collateral
Netting
Net
Carrying
Value on
Balance
Sheet
Cash
Collateral
Paid or
Received
Not Offset
Fair Value Hierarchy
Level 1Level 2Level 3
Assets
Commodity derivative
contracts
$951 $— $— $951 $(824)$(54)$73 $— 
Physical purchase
contracts
— — n/an/an/a
Investments of certain
benefit plans
85 — 89 n/an/a89 n/a
Investments in AFS
debt securities
25 — 26 n/an/a26 n/a
Total$1,037 $26 $$1,067 $(824)$(54)$189 
Liabilities
Commodity derivative
contracts
$883 $— $— $883 $(824)$(59)$— $(55)
Physical purchase
contracts
— — n/an/an/a
Blending program
obligations
— 30 — 30 n/an/a30 n/a
Foreign currency
contracts
— — n/an/an/a
Total$884 $35 $— $919 $(824)$(59)$36 
December 31, 2023
Total
Gross
Fair
Value
Effect of
Counter-
party
Netting
Effect of
Cash
Collateral
Netting
Net
Carrying
Value on
Balance
Sheet
Cash
Collateral
Paid or
Received
Not Offset
Fair Value Hierarchy
Level 1Level 2Level 3
Assets
Commodity derivative
contracts
$803 $— $— $803 $(642)$(66)$95 $— 
Investments of certain
benefit plans
76 — 80 n/an/a80 n/a
Investments in AFS
debt securities
36 75 — 111 n/an/a111 n/a
Total$915 $75 $$994 $(642)$(66)$286 
Liabilities
Commodity derivative
contracts
$643 $— $— $643 $(642)$(1)$— $(67)
Physical purchase
contracts
— — n/an/an/a
Blending program
obligations
— 58 — 58 n/an/a58 n/a
Foreign currency
contracts
— — n/an/an/a
Total
$650 $64 $— $714 $(642)$(1)$71 
Schedule of Carrying Amount and Estimated Fair Value of Financial Instruments The estimated fair values of cash and cash equivalents, restricted cash, receivables, payables, and operating and finance lease obligations approximate their carrying amounts; the carrying value and fair value of debt is shown in the table below (in millions).
September 30, 2024December 31, 2023
Fair Value
Hierarchy
Carrying
Amount
Fair
Value
Carrying
Amount
Fair
Value
Financial liabilities:
Debt (excluding finance lease
obligations)
Level 2$8,355 $8,372 $9,218 $9,109