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DEBT AND CREDIT FACILITIES - Amounts Outstanding and Description of Terms (Details) - USD ($)
3 Months Ended 12 Months Ended
Jan. 03, 2017
Dec. 31, 2016
Sep. 30, 2015
Mar. 13, 2015
Jul. 02, 2013
Jul. 01, 2013
Mar. 31, 2017
Mar. 31, 2016
Dec. 31, 2016
Dec. 31, 2015
Dec. 31, 2014
Apr. 29, 2016
Jun. 01, 2015
Credit facilities, short-term loan facility and long-term debt                          
Other assets (Note 3) [1]   $ 1,000,000         $ 1,000,000   $ 1,000,000 $ 1,000,000      
Long-term debt   1,920,000,000         1,858,000,000   1,920,000,000        
Debt and credit facilities   1,920,000,000         1,858,000,000   1,920,000,000        
Less: unamortized debt issuance costs and debt discount   9,000,000         8,000,000   9,000,000 9,000,000      
Less: current portion [1]   52,000,000         46,000,000   52,000,000 36,000,000      
Total credit facilities, short-term loan facility and long-term debt 10K   1,920,000,000             1,920,000,000 1,980,000,000      
Long-term debt [1]   $ 1,859,000,000         $ 1,804,000,000   1,859,000,000 1,935,000,000      
Amount borrowed [1]               $ 195,000,000 $ 209,000,000 618,000,000 $ 35,000,000    
Senior Credit Facility and the Term Loan Facilities due in 2018                          
Credit facilities, short-term loan facility and long-term debt                          
Leverage ratio, actual (as a percent)   401.00%         4.04%   401.00%        
Senior Credit Facility and the Term Loan Facilities due in 2018 | Debt agreement covenants, initial period after occurrence of acquisition                          
Credit facilities, short-term loan facility and long-term debt                          
Additional period immediately following the fiscal quarter in which a specified material acquisition occurs             6 months   6 months        
Senior Credit Facility and the Term Loan Facilities due in 2018 | Debt agreement covenants, initial period after occurrence of acquisition | Maximum                          
Credit facilities, short-term loan facility and long-term debt                          
Leverage ratio, covenant (as a percent)             550.00%   550.00%        
Senior Credit Facility and the Term Loan Facilities due in 2018 | Debt agreement covenants, periods subsequent to initial period after occurrence of acquisition | Maximum                          
Credit facilities, short-term loan facility and long-term debt                          
Leverage ratio, covenant (as a percent)             500.00%   500.00%        
Revolving credit facility | TC Pipelines, LP Senior Credit Facility due 2021                          
Credit facilities, short-term loan facility and long-term debt                          
Debt and credit facilities   $ 160,000,000         $ 110,000,000   $ 160,000,000 $ 200,000,000      
Weighted Average Interest Rate (as a percent)             2.03%   1.72% 1.44%      
Maximum borrowing capacity   500,000,000         $ 500,000,000   $ 500,000,000        
Amount outstanding under credit facility   160,000,000         110,000,000   160,000,000 $ 200,000,000      
Remaining borrowing capacity   340,000,000         $ 390,000,000   340,000,000        
Revolving credit facility | TC Pipelines, LP Senior Credit Facility due 2021 | Maximum                          
Credit facilities, short-term loan facility and long-term debt                          
Increase in credit facility   $ 500,000,000             $ 500,000,000        
Revolving credit facility | TC Pipelines, LP Senior Credit Facility due 2021 | LIBOR                          
Credit facilities, short-term loan facility and long-term debt                          
Debt interest rate, at period end (as a percent)   1.92%         2.04%   1.92% 1.50%      
Term loan | 2013 Term Loan Facility due 2018                          
Credit facilities, short-term loan facility and long-term debt                          
Debt and credit facilities   $ 500,000,000         $ 500,000,000   $ 500,000,000 $ 500,000,000      
Weighted Average Interest Rate (as a percent)             2.03%   1.73% 1.44%      
Amount of debt           $ 500,000,000              
Borrowings under the facility         $ 500,000,000                
Term loan | 2013 Term Loan Facility due 2018 | Base rate borrowings | Federal funds rate                          
Credit facilities, short-term loan facility and long-term debt                          
Basis spread on variable rate (as a percent)           0.50%              
Term loan | 2013 Term Loan Facility due 2018 | Base rate borrowings | LIBOR                          
Credit facilities, short-term loan facility and long-term debt                          
Basis spread on variable rate (as a percent)           1.00%              
Term loan | 2013 Term Loan Facility due 2018 | Base rate borrowings | Base rate | Minimum                          
Credit facilities, short-term loan facility and long-term debt                          
Basis spread on variable rate (as a percent)           0.125%              
Term loan | 2013 Term Loan Facility due 2018 | Base rate borrowings | Base rate | Maximum                          
Credit facilities, short-term loan facility and long-term debt                          
Basis spread on variable rate (as a percent)           1.00%              
Term loan | 2013 Term Loan Facility due 2018 | LIBOR borrowings | LIBOR                          
Credit facilities, short-term loan facility and long-term debt                          
Weighted Average Interest Rate (as a percent)                 2.31% 2.79%      
Debt interest rate, at period end (as a percent)   1.87%         2.04%   1.87% 1.50%      
Term loan | 2013 Term Loan Facility due 2018 | LIBOR borrowings | LIBOR | Minimum                          
Credit facilities, short-term loan facility and long-term debt                          
Basis spread on variable rate (as a percent)           1.125%              
Term loan | 2013 Term Loan Facility due 2018 | LIBOR borrowings | LIBOR | Maximum                          
Credit facilities, short-term loan facility and long-term debt                          
Basis spread on variable rate (as a percent)           2.00%              
Term loan | TC PipeLines, LP 2015 Term Loan Facility due 2018                          
Credit facilities, short-term loan facility and long-term debt                          
Debt and credit facilities   $ 170,000,000         $ 170,000,000   $ 170,000,000 $ 170,000,000      
Weighted Average Interest Rate (as a percent)             1.93%   1.63% 1.47%      
Amount of debt     $ 170,000,000                    
Amount borrowed     $ 170,000,000                    
Term loan | TC PipeLines, LP 2015 Term Loan Facility due 2018 | LIBOR                          
Credit facilities, short-term loan facility and long-term debt                          
Debt interest rate, at period end (as a percent)   1.77%         1.93%   1.77% 1.39%      
Unsecured debt | 4.65% Senior Notes due 2021                          
Credit facilities, short-term loan facility and long-term debt                          
Stated interest rate (as a percent)   4.65%         4.65%   4.65% 4.65%      
Debt and credit facilities   $ 350,000,000         $ 350,000,000   $ 350,000,000 $ 350,000,000      
Weighted Average Interest Rate (as a percent)             4.65%   4.65% 4.65%      
Unsecured debt | TC PipeLines, LP 4.375% Senior Notes due 2025                          
Credit facilities, short-term loan facility and long-term debt                          
Stated interest rate (as a percent)   4.375%   4.375%     4.375%   4.375% 4.375%      
Debt and credit facilities   $ 350,000,000         $ 350,000,000   $ 350,000,000 $ 350,000,000      
Weighted Average Interest Rate (as a percent)             4.375%   4.375% 4.375%      
Amount of debt       $ 350,000,000                  
Net proceeds       $ 346,000,000                  
Unsecured debt | GTN 5.29% Senior Notes due 2020                          
Credit facilities, short-term loan facility and long-term debt                          
Stated interest rate (as a percent)   5.29%         5.29%   5.29% 5.29%      
Debt and credit facilities   $ 100,000,000         $ 100,000,000   $ 100,000,000        
Weighted Average Interest Rate (as a percent)             5.29%   5.29%        
Unsecured debt | GTN 5.69% Senior Notes due 2035                          
Credit facilities, short-term loan facility and long-term debt                          
Stated interest rate (as a percent)   5.69%         5.69%   5.69% 5.69%      
Debt and credit facilities   $ 150,000,000         $ 150,000,000   $ 150,000,000        
Weighted Average Interest Rate (as a percent)             5.69%   5.69%        
Unsecured debt | Term Loan Facility due 2019                          
Credit facilities, short-term loan facility and long-term debt                          
Debt and credit facilities   65,000,000         $ 65,000,000   $ 65,000,000        
Weighted Average Interest Rate (as a percent)             1.73%   1.43%        
Unsecured debt | Tuscarora Term Loan due 2019                          
Credit facilities, short-term loan facility and long-term debt                          
Debt and credit facilities   $ 10,000,000         $ 10,000,000   $ 10,000,000        
Weighted Average Interest Rate (as a percent)             1.91%   1.64%        
Secured debt | PNGTS 5.90% Senior Secured Notes due December 2018                          
Credit facilities, short-term loan facility and long-term debt                          
Stated interest rate (as a percent)   5.90%             5.90% 5.90%      
Secured debt | 3.82% Series D Senior Notes due 2017                          
Credit facilities, short-term loan facility and long-term debt                          
Stated interest rate (as a percent)   3.82%         3.82%   3.82% 3.82%      
Debt and credit facilities   $ 12,000,000         $ 12,000,000   $ 12,000,000        
Weighted Average Interest Rate (as a percent)             3.82%   3.82%        
GTN                          
Credit facilities, short-term loan facility and long-term debt                          
Percentage of debt to total capitalization, actual   44.50%             44.50%        
GTN | 5.09% Senior Notes due 2015                          
Credit facilities, short-term loan facility and long-term debt                          
Stated interest rate (as a percent)                         5.09%
GTN | Unsecured debt | GTN 5.29% Senior Notes due 2020                          
Credit facilities, short-term loan facility and long-term debt                          
Debt and credit facilities   $ 100,000,000             $ 100,000,000 $ 100,000,000      
Weighted Average Interest Rate (as a percent)                 5.29% 5.29%      
GTN | Unsecured debt | GTN 5.69% Senior Notes due 2035                          
Credit facilities, short-term loan facility and long-term debt                          
Debt and credit facilities   150,000,000             $ 150,000,000 $ 150,000,000      
Weighted Average Interest Rate (as a percent)                 5.69% 5.69%      
GTN | Unsecured debt | Term Loan Facility due 2019                          
Credit facilities, short-term loan facility and long-term debt                          
Debt and credit facilities   $ 65,000,000             $ 65,000,000 $ 75,000,000      
Weighted Average Interest Rate (as a percent)                 1.43% 1.15%      
GTN | Unsecured debt | Term Loan Facility due 2019 | LIBOR                          
Credit facilities, short-term loan facility and long-term debt                          
Debt interest rate, at period end (as a percent)   1.57%             1.57% 1.19%      
Amount of debt                         $ 75,000,000
GTN | Unsecured debt | Senior Notes and Term Loan Facility due 2019                          
Credit facilities, short-term loan facility and long-term debt                          
Debt interest rate, at period end (as a percent)   1.57%         1.73%   1.57%        
Percentage of debt to total capitalization, actual             44.70%            
GTN | Unsecured debt | Senior Notes and Term Loan Facility due 2019 | Maximum                          
Credit facilities, short-term loan facility and long-term debt                          
Percentage of debt to total capitalization, covenant             70.00%   70.00%        
Tuscarora Gas Transmission Company                          
Credit facilities, short-term loan facility and long-term debt                          
Debt and credit facilities   $ 10,000,000             $ 10,000,000        
Weighted Average Interest Rate (as a percent)                 1.64%        
Tuscarora Gas Transmission Company | Unsecured debt | Tuscarora Term Loan due 2019                          
Credit facilities, short-term loan facility and long-term debt                          
Amount of debt                       $ 9,500,000  
Tuscarora Gas Transmission Company | Unsecured debt | Tuscarora Term Loan due 2019 | LIBOR                          
Credit facilities, short-term loan facility and long-term debt                          
Debt interest rate, at period end (as a percent)   1.90%         2.12%   1.90%        
Tuscarora Gas Transmission Company | Unsecured debt | 3.82% Series D Senior Notes due 2017                          
Credit facilities, short-term loan facility and long-term debt                          
Percentage of debt to total capitalization, actual   21.22%         21.05%   21.22%        
Debt Service Coverage, Actual (as a percent)   415.00%         3.92%            
Tuscarora Gas Transmission Company | Unsecured debt | 3.82% Series D Senior Notes due 2017 | Minimum                          
Credit facilities, short-term loan facility and long-term debt                          
Debt Service Coverage, covenant (as a percent)   300.00%         300.00%            
Tuscarora Gas Transmission Company | Unsecured debt | 3.82% Series D Senior Notes due 2017 | Maximum                          
Credit facilities, short-term loan facility and long-term debt                          
Percentage of debt to total capitalization, covenant   45.00%         45.00%            
Tuscarora Gas Transmission Company | Secured debt | 3.82% Series D Senior Notes due 2017                          
Credit facilities, short-term loan facility and long-term debt                          
Debt and credit facilities   $ 12,000,000             $ 12,000,000 $ 16,000,000      
Weighted Average Interest Rate (as a percent)                 3.82% 3.82%      
Portland Natural Gas Transmission System | PNGTS 5.90% Senior Secured Notes due December 2018                          
Credit facilities, short-term loan facility and long-term debt                          
Debt and credit facilities   53,000,000         $ 41,000,000   $ 53,000,000        
Payment of principal amount on secured notes $ 5,500,000                        
Weighted Average Interest Rate (as a percent)             5.90%   5.90%        
Portland Natural Gas Transmission System | PNGTS 5.90% Senior Secured Notes due December 2018 | Subsequent event                          
Credit facilities, short-term loan facility and long-term debt                          
Payment of principal amount on secured notes $ 5,500,000                        
Portland Natural Gas Transmission System | Secured debt | PNGTS 5.90% Senior Secured Notes due December 2018                          
Credit facilities, short-term loan facility and long-term debt                          
Debt and credit facilities   $ 53,000,000             $ 53,000,000 $ 69,000,000      
Weighted Average Interest Rate (as a percent)                 5.90% 5.90%      
Debt Service, number of months of guarantee                 6 months        
Portland Natural Gas Transmission System | Secured debt | PNGTS 5.90% Senior Secured Notes due December 2018 | Debt agreement covenants, preceding twelve months                          
Credit facilities, short-term loan facility and long-term debt                          
Debt Service Coverage, Actual (as a percent)             1.86%   2.41%        
Portland Natural Gas Transmission System | Secured debt | PNGTS 5.90% Senior Secured Notes due December 2018 | Debt agreement covenants, preceding twelve months | Minimum                          
Credit facilities, short-term loan facility and long-term debt                          
Debt Service Coverage, covenant (as a percent)             1.30%   1.30%        
Portland Natural Gas Transmission System | Secured debt | PNGTS 5.90% Senior Secured Notes due December 2018 | Debt agreement covenants, succeeding twelve months                          
Credit facilities, short-term loan facility and long-term debt                          
Debt Service Coverage, Actual (as a percent)             1.52%   1.43%        
Portland Natural Gas Transmission System | Secured debt | PNGTS 5.90% Senior Secured Notes due December 2018 | Debt agreement covenants, succeeding twelve months | Minimum                          
Credit facilities, short-term loan facility and long-term debt                          
Debt Service Coverage, covenant (as a percent)             1.30%            
ASU 2015-03, Interest - Imputation of Interest | Adjustment                          
Credit facilities, short-term loan facility and long-term debt                          
Other assets (Note 3)                   $ (8,000,000)      
Long-term debt                   (8,000,000)      
Less: unamortized debt issuance costs and debt discount                   $ (8,000,000)      
[1] Recast to consolidate PNGTS for all periods presented (Refer to Note 2).