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Financial Instruments, Derivatives and Hedging Activities (Details) - USD ($)
$ in Millions
9 Months Ended
Sep. 30, 2015
Dec. 31, 2014
Sep. 30, 2014
Dec. 31, 2013
Financial instruments, derivatives and hedging activities        
Accumulated gains (losses) from derivative instruments, net of tax effect $ (1,053) $ (782) $ (719) $ (583)
Senior Notes 3.20 Percent Due November 1, 2015        
Financial instruments, derivatives and hedging activities        
Debt, face amount 350 350    
Senior Notes 4.625 Percent Due November 1, 2020        
Financial instruments, derivatives and hedging activities        
Debt, face amount $ 400      
Commodity Contract | Minimum        
Financial instruments, derivatives and hedging activities        
Maturity period of price risk derivative 12 months      
Commodity Contract | Maximum        
Financial instruments, derivatives and hedging activities        
Maturity period of price risk derivative 24 months      
Cash Flow Hedging | Commodity Contract        
Financial instruments, derivatives and hedging activities        
Accumulated gains (losses) from derivative instruments, net of tax effect $ (7) (13)    
Accumulated gains (losses) from derivative instruments, net income tax effect (3) (6)    
Cash Flow Hedging | Treasury Lock        
Financial instruments, derivatives and hedging activities        
Accumulated gains (losses) from derivative instruments, net of tax effect (5) (7)    
Accumulated gains (losses) from derivative instruments, net income tax effect (3) (4)    
Fair value of interest rate derivatives 0 0    
Fair Value Hedging | Interest Rate Swap        
Financial instruments, derivatives and hedging activities        
Fair value of interest rate derivatives $ 19 13    
Debt, floating rate of interest basis six-month US dollar LIBOR rate plus a spread      
Fair Value Hedging | Interest Rate Swap | Senior Notes 3.20 Percent Due November 1, 2015        
Financial instruments, derivatives and hedging activities        
Debt, fixed interest rate (as a percent) 3.20%      
Debt, face amount $ 350      
Fair Value Hedging | Interest Rate Swap | Senior Notes 6.0 Percent Due April 15, 2017        
Financial instruments, derivatives and hedging activities        
Debt, fixed interest rate (as a percent) 6.00%      
Debt, face amount $ 200      
Fair Value Hedging | Interest Rate Swap | Senior Notes 1.8 Percent Due September 25, 2017        
Financial instruments, derivatives and hedging activities        
Debt, fixed interest rate (as a percent) 1.80%      
Debt, face amount $ 300      
Fair Value Hedging | Interest Rate Swap | Senior Notes 4.625 Percent Due November 1, 2020        
Financial instruments, derivatives and hedging activities        
Debt, fixed interest rate (as a percent) 4.625%      
Debt, face amount $ 200      
Fair Value Hedging | Foreign Exchange Forward        
Financial instruments, derivatives and hedging activities        
Fair value of assets 5 1    
Fair Value Hedging | Foreign Exchange Forward | Short        
Foreign currency hedging        
Derivative notional amount 390 150    
Fair Value Hedging | Foreign Exchange Forward | Long        
Foreign currency hedging        
Derivative notional amount $ 47 $ 70