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Fair Value Measurement - Fair Value Measurement Inputs (Details) - USD ($)
$ in Millions
Mar. 31, 2023
Dec. 31, 2022
Investment securities (current and long-term):    
Marketable Securities $ 0  
Other Assets, Current 473 $ 492
Other assets 1,769 1,601
Derivatives:    
Derivative Asset 131 170
Derivatives: [Abstract]    
Derivative Liability 8 42
Fair Value Measured at Net Asset Value Per Share    
Investment securities (current and long-term):    
Investments, Fair Value Disclosure 26 25
Trust Assets Fair Value Disclosure 63 56
Derivatives:    
Derivative Asset 0 0
Discontinued Operation, Contingent Receivable 0 0
Derivatives: [Abstract]    
Derivative Liability 0 0
Long-term debt, including current portion 0 0
Level 1    
Investment securities (current and long-term):    
Investments, Fair Value Disclosure 7 7
Trust Assets Fair Value Disclosure 21 3
Derivatives:    
Derivative Asset 14 4
Discontinued Operation, Contingent Receivable 0 0
Derivatives: [Abstract]    
Derivative Liability 0 0
Long-term debt, including current portion 0 0
Level 2    
Investment securities (current and long-term):    
Investments, Fair Value Disclosure 0 0
Trust Assets Fair Value Disclosure 122 122
Derivatives:    
Derivative Asset 120 166
Discontinued Operation, Contingent Receivable 0 0
Derivatives: [Abstract]    
Derivative Liability 11 42
Long-term debt, including current portion 9,336 10,097
Level 3    
Investment securities (current and long-term):    
Investments, Fair Value Disclosure 0 0
Trust Assets Fair Value Disclosure 0 0
Derivatives:    
Derivative Asset 0 0
Discontinued Operation, Contingent Receivable 54 57
Derivatives: [Abstract]    
Derivative Liability 0 0
Long-term debt, including current portion 0 0
Estimate of Fair Value Measurement    
Investment securities (current and long-term):    
Investments, Fair Value Disclosure 33 32
Trust Assets Fair Value Disclosure 206 181
Derivatives:    
Derivative Asset 134 170
Discontinued Operation, Contingent Receivable 54 57
Derivatives: [Abstract]    
Derivative Liability 11 42
Long-term debt, including current portion 9,336 10,097
Carrying Amount, Fair Value Disclosure    
Investment securities (current and long-term):    
Investments, Fair Value Disclosure 33 32
Trust Assets Fair Value Disclosure 206 181
Derivatives:    
Derivative Asset 134 170
Discontinued Operation, Contingent Receivable 63 67
Derivatives: [Abstract]    
Derivative Liability 11 42
Long-term debt, including current portion 9,635 10,620
Embedded Derivative Financial Instruments    
Derivatives:    
Derivative Asset 116 166
Derivatives: [Abstract]    
Derivative Liability 7 39
Embedded Derivative Financial Instruments | Fair Value Measured at Net Asset Value Per Share    
Derivatives:    
Derivative Asset 0 0
Derivatives: [Abstract]    
Derivative Liability 0 0
Embedded Derivative Financial Instruments | Level 1    
Derivatives:    
Derivative Asset 0 0
Derivatives: [Abstract]    
Derivative Liability 0 0
Embedded Derivative Financial Instruments | Level 2    
Derivatives:    
Derivative Asset 119 166
Derivatives: [Abstract]    
Derivative Liability 10 39
Embedded Derivative Financial Instruments | Level 3    
Derivatives:    
Derivative Asset 0 0
Derivatives: [Abstract]    
Derivative Liability 0 0
Embedded Derivative Financial Instruments | Estimate of Fair Value Measurement    
Derivatives:    
Derivative Asset 119 166
Derivatives: [Abstract]    
Derivative Liability 10 39
Embedded Derivative Financial Instruments | Carrying Amount, Fair Value Disclosure    
Derivatives:    
Derivative Asset 119 166
Derivatives: [Abstract]    
Derivative Liability 10 39
Forward Contracts | Level 1    
Derivatives:    
Derivative Asset   1
Forward Contracts | Level 2    
Derivatives:    
Derivative Asset   0
Forward Contracts | Level 3    
Derivatives:    
Derivative Asset   0
Forward Contracts | Estimate of Fair Value Measurement    
Derivatives:    
Derivative Asset   1
Forward Contracts | Carrying Amount, Fair Value Disclosure    
Derivatives:    
Derivative Asset   1
Commodity Contract    
Derivatives:    
Derivative Asset 15 4
Derivatives: [Abstract]    
Derivative Liability 1 3
Commodity Contract | Fair Value Measured at Net Asset Value Per Share    
Derivatives:    
Derivative Asset 0 0
Derivatives: [Abstract]    
Derivative Liability   0
Commodity Contract | Fair Value Measured at Net Asset Value Per Share | Forward Contracts    
Derivatives: [Abstract]    
Derivative Liability 0  
Commodity Contract | Level 1    
Derivatives:    
Derivative Asset   3
Derivatives: [Abstract]    
Derivative Liability   0
Commodity Contract | Level 1 | Forward Contracts    
Derivatives: [Abstract]    
Derivative Liability 0  
Commodity Contract | Level 2    
Derivatives:    
Derivative Asset   0
Derivatives: [Abstract]    
Derivative Liability   3
Commodity Contract | Level 2 | Forward Contracts    
Derivatives: [Abstract]    
Derivative Liability 1  
Commodity Contract | Level 3    
Derivatives:    
Derivative Asset   0
Derivatives: [Abstract]    
Derivative Liability   0
Commodity Contract | Level 3 | Forward Contracts    
Derivatives: [Abstract]    
Derivative Liability 0  
Commodity Contract | Estimate of Fair Value Measurement    
Derivatives:    
Derivative Asset   3
Derivatives: [Abstract]    
Derivative Liability   3
Commodity Contract | Estimate of Fair Value Measurement | Forward Contracts    
Derivatives: [Abstract]    
Derivative Liability 1  
Commodity Contract | Carrying Amount, Fair Value Disclosure    
Derivatives:    
Derivative Asset   3
Derivatives: [Abstract]    
Derivative Liability   3
Commodity Contract | Carrying Amount, Fair Value Disclosure | Forward Contracts    
Derivatives: [Abstract]    
Derivative Liability 1  
Future | Level 1    
Derivatives:    
Derivative Asset 14  
Future | Level 2    
Derivatives:    
Derivative Asset 1  
Future | Level 3    
Derivatives:    
Derivative Asset 0  
Future | Estimate of Fair Value Measurement    
Derivatives:    
Derivative Asset 15  
Future | Carrying Amount, Fair Value Disclosure    
Derivatives:    
Derivative Asset 15  
U.S. core fixed income fund | Fair Value Measured at Net Asset Value Per Share    
Investment securities (current and long-term):    
Marketable Securities 26 25
Trust Assets Fair Value Disclosure 63 56
U.S. core fixed income fund | Level 1    
Investment securities (current and long-term):    
Marketable Securities 0 0
Trust Assets Fair Value Disclosure 0 0
U.S. core fixed income fund | Level 2    
Investment securities (current and long-term):    
Marketable Securities 0 0
Trust Assets Fair Value Disclosure 0 0
U.S. core fixed income fund | Level 3    
Investment securities (current and long-term):    
Marketable Securities 0 0
Trust Assets Fair Value Disclosure 0 0
U.S. core fixed income fund | Estimate of Fair Value Measurement    
Investment securities (current and long-term):    
Marketable Securities 26 25
Trust Assets Fair Value Disclosure 63 56
U.S. core fixed income fund | Carrying Amount, Fair Value Disclosure    
Investment securities (current and long-term):    
Marketable Securities 26 25
Trust Assets Fair Value Disclosure 63 56
Equity securities | Fair Value Measured at Net Asset Value Per Share    
Investment securities (current and long-term):    
Marketable Securities   0
Equity securities | Level 1    
Investment securities (current and long-term):    
Marketable Securities 7 7
Equity securities | Level 2    
Investment securities (current and long-term):    
Marketable Securities 0 0
Equity securities | Level 3    
Investment securities (current and long-term):    
Marketable Securities 0 0
Equity securities | Estimate of Fair Value Measurement    
Investment securities (current and long-term):    
Marketable Securities 7 7
Equity securities | Carrying Amount, Fair Value Disclosure    
Investment securities (current and long-term):    
Marketable Securities 7 7
Government bonds | Fair Value Measured at Net Asset Value Per Share    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Government bonds | Level 1    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Government bonds | Level 2    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 32 34
Government bonds | Level 3    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Government bonds | Estimate of Fair Value Measurement    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 32 34
Government bonds | Carrying Amount, Fair Value Disclosure    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 32 34
Corporate bonds | Fair Value Measured at Net Asset Value Per Share    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Corporate bonds | Level 1    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Corporate bonds | Level 2    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 31 31
Corporate bonds | Level 3    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Corporate bonds | Estimate of Fair Value Measurement    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 31 31
Corporate bonds | Carrying Amount, Fair Value Disclosure    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 31 31
Government mortgage-backed securities | Fair Value Measured at Net Asset Value Per Share    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Government mortgage-backed securities | Level 1    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Government mortgage-backed securities | Level 2    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 38 37
Government mortgage-backed securities | Level 3    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Government mortgage-backed securities | Estimate of Fair Value Measurement    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 38 37
Government mortgage-backed securities | Carrying Amount, Fair Value Disclosure    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 38 37
Asset-backed securities | Fair Value Measured at Net Asset Value Per Share    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Asset-backed securities | Level 1    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Asset-backed securities | Level 2    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 19 17
Asset-backed securities | Level 3    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Asset-backed securities | Estimate of Fair Value Measurement    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 19 17
Asset-backed securities | Carrying Amount, Fair Value Disclosure    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 19 17
Money market funds | Fair Value Measured at Net Asset Value Per Share    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Money market funds | Level 1    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 21 3
Money market funds | Level 2    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Money market funds | Level 3    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Money market funds | Estimate of Fair Value Measurement    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 21 3
Money market funds | Carrying Amount, Fair Value Disclosure    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 21 3
Collateralized Mortgage Backed Securities | Fair Value Measured at Net Asset Value Per Share    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Collateralized Mortgage Backed Securities | Level 1    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Collateralized Mortgage Backed Securities | Level 2    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 2 3
Collateralized Mortgage Backed Securities | Level 3    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 0 0
Collateralized Mortgage Backed Securities | Estimate of Fair Value Measurement    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 2 3
Collateralized Mortgage Backed Securities | Carrying Amount, Fair Value Disclosure    
Investment securities (current and long-term):    
Trust Assets Fair Value Disclosure 2 3
Bank Time Deposits | Carrying Amount, Fair Value Disclosure    
Investment securities (current and long-term):    
Other Assets, Current 118  
Other assets $ 133  
Fair Value, Recurring [Member] | Forward Contracts | Estimate of Fair Value Measurement    
Derivatives:    
Derivative Asset   $ 0