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Accounting for derivative instruments and hedging activities (Details)
$ in Millions, kJ in Billions
12 Months Ended
May 15, 2020
MMBTU
Dec. 31, 2020
USD ($)
kJ
MMBTU
contract
$ / J
Dec. 31, 2019
USD ($)
MMBTU
Apr. 13, 2016
USD ($)
Derivative instruments designated as cash flow hedges        
Derivative instruments        
Number of derivative contracts designated as cash flow hedges | contract   1    
Adjusted Eurodollar Rate        
Derivative instruments        
Applicable margin (as a percent)   2.50%    
Nipigon Project        
Derivative instruments        
Notional amount, energy (in joules: Ontario, in Mmbtu: Orlando and Morris) | kJ   6,500    
Gas purchase agreements | Nipigon Project        
Derivative instruments        
Price per Gj | $ / J   4.57    
Gas purchase agreements | Nipigon Project | Minimum        
Derivative instruments        
Notional amount, energy (in joules: Ontario, in Mmbtu: Orlando and Morris) | kJ   6,500    
Gas purchase and sales agreements | Morris Project        
Derivative instruments        
Notional amount, energy (in joules: Ontario, in Mmbtu: Orlando and Morris) | MMBTU 700,000      
Natural gas swaps        
Derivative instruments        
Notional amount, energy (in joules: Ontario, in Mmbtu: Orlando and Morris) | MMBTU   12,400,000 16,300,000  
Natural gas swaps | Orlando project        
Derivative instruments        
Notional amount, energy (in joules: Ontario, in Mmbtu: Orlando and Morris) | MMBTU   12,400,000    
Natural gas swaps during 2016 | Orlando project        
Derivative instruments        
Percentage of the entity's share in required natural gas purchases hedge   100.00%    
Interest rate swaps        
Derivative instruments        
Notional amount   $ 122.3 $ 468.4  
Derivative, Average Swaption Interest Rate   2.20%    
Swaption interest rate (as a percent)   4.70%    
Interest rate swaps | Adjusted Eurodollar Rate        
Derivative instruments        
Derivative, Floor Interest Rate   1.00%    
Interest rate swaps | Minimum        
Derivative instruments        
Minimum fixed interest rate (as a percent)   3.50%    
Interest rate swaps | Swaption interest rate until February 15, 2023 | Cadillac Project        
Derivative instruments        
Swaption interest rate (as a percent)   6.30%    
Interest rate swaps | Swaption interest rate after February 15, 2023 | Cadillac Project        
Derivative instruments        
Swaption interest rate (as a percent)   6.40%    
Foreign currency forward contracts | Derivative instruments not designated as cash flow hedges        
Derivative instruments        
Number of forward contracts | contract   0    
APLP Holdings | Senior secured term loans        
Derivative instruments        
Face amount of debt   $ 700.0   $ 700.0
APLP Holdings | Interest rate swaps | Adjusted Eurodollar Rate | Senior secured term loans | Long-term debt excluding debentures        
Derivative instruments        
Notional amount   307.5    
Remaining aggregate principal amount   $ 307.5