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DEBT AND CREDIT FACILITIES (Tables)
12 Months Ended
Dec. 31, 2015
DEBT AND CREDIT FACILITIES  
Schedule of debt and credit facilities

 

                                                                                                                                                                                    


December 31 (millions of dollars)

 

2015 

 

2014 

 


Senior Credit Facility due 2017

 

200 

 

330 

 

2013 Term Loan Facility due 2018

 

500 

 

500 

 

Short-Term Loan Facility due 2015

 

 

170 

 

2015 Term Loan Facility due 2018

 

170 

 

 

4.65% Unsecured Senior Notes due 2021, net of discount (2015 and 2014 – nil)

 

350 

 

350 

 

4.375% Unsecured Senior Notes due 2025, net of $1 million discount

 

349 

 

 

5.09% Unsecured Senior Notes due 2015

 

 

75 

 

5.29% Unsecured Senior Notes due 2020

 

100 

 

100 

 

5.69% Unsecured Senior Notes due 2035

 

150 

 

150 

 

Unsecured Term Loan Facility due 2019

 

75 

 

 

3.82% Series D Senior Notes due 2017

 

16 

 

20 

 


 

 

1,910 

 

1,695 

 

Less: current portion

 

14 

 

249 

 


 

 

1,896 

 

1,446 

 


 

Schedule of principal repayments required on debt

 

                                                                                                                                                                                    

(millions of dollars)

 

 

 


2016

 

14 

 

2017

 

222 

 

2018

 

690 

 

2019

 

35 

 

2020

 

100 

 

Thereafter

 

849 

 


 

 

1,910