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FAIR VALUE MEASUREMENTS - Interest Rate Swaps (Details) - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2018
Mar. 31, 2017
Dec. 31, 2017
Interest rate derivatives      
Fair value of derivative asset, net     $ 5.0
Debt and credit facilities $ 2,389.0   2,415.0
Term loan | 2013 Term Loan Facility due 2018      
Interest rate derivatives      
Debt and credit facilities 500.0    
Term loan | TC PipeLines, LP 2013 Term Loan Facility due 2022      
Interest rate derivatives      
Debt and credit facilities 500.0   $ 500.0
Average rate of forward starting swaps     3.26%
Portland Natural Gas Transmission System      
Interest rate derivatives      
Payments for derivative instruments $ 20.9    
Interest acquired (as a percent) 61.71%    
Net unamortized loss included in other comprehensive income $ 1.0   $ 1.0
Amortization of derivatives loss $ 0.0 $ 0.0  
Interest rate swaps | Term loan | 2013 Term Loan Facility due 2018      
Interest rate derivatives      
Weighted average fixed interest rate (as a percent) 2.31%    
Hedges of cash flows | Interest rate swaps      
Interest rate derivatives      
Change in fair value of interest rate derivative instruments recognized in other comprehensive income (loss) $ 7.0 1.0  
Hedges of cash flows | Interest rate swaps | Financial charges and other      
Interest rate derivatives      
Net realized gain related to the interest rate swaps (1.0) $ 0.0  
Hedges of cash flows | Interest rate swaps | Recurring fair value measurement | Level 2      
Interest rate derivatives      
Fair value of derivative asset, gross     5.0
Fair value of derivative asset, net     $ 5.0
Designated as hedge | Interest rate swaps | Recurring fair value measurement | Level 2      
Interest rate derivatives      
Fair value of derivative asset, gross 12.0    
Fair value of derivative asset, net $ 12.0