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Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2013
Fair Value Measurements [Abstract]  
Fair Value Assets and Liabilities Measured On Recurring Basis [Text Block]
                   
 
          Fair Value Measurements Using
           Quoted     
           Prices In     
           Active Significant   
           Markets for Other Significant
          Identical Observable Unobservable
     Carrying Fair Assets Inputs Inputs
 Amount Value (Level 1) (Level 2) (Level 3)
                   
    (Millions)
Assets (liabilities) at June 30, 2013:  
 Measured on a recurring basis:              
  ARO Trust investments $ 28 $ 28 $ 28 $ - $ -
  Energy derivatives assets designated as              
   hedging instruments  1   1   -   1   -
  Energy derivatives assets not designated as              
   hedging instruments  5   5   -   -   5
  Energy derivatives liabilities not designated as              
   hedging instruments  (2)   (2)   -   -   (2)
 Additional disclosures:              
  Notes receivable and other  88   132   1   7   124
  Long-term debt, including current portion (a)  (10,358)   (11,142)   -   (11,142)   -
  Guarantee  (32)   (30)   -   (30)   -
                   
Assets (liabilities) at December 31, 2012:              
 Measured on a recurring basis:              
  ARO Trust investments $ 18 $ 18 $ 18 $ - $ -
  Energy derivatives assets not designated as              
   hedging instruments  5   5   -   -   5
  Energy derivatives liabilities not designated as              
   hedging instruments  (1)   (1)   -   -   (1)
 Additional disclosures:              
  Notes receivable and other  95   138   2   8   128
  Long-term debt, including current portion (a)  (10,734)   (12,388)   -   (12,388)   -
  Guarantee  (33)   (31)   -   (31)   -
                   
                   
(a) Excludes capital leases