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Supplemental Cash Flow Information (Tables)
3 Months Ended
Mar. 31, 2020
Supplemental Cash Flow Elements [Abstract]  
Summary of Supplemental Cash Flow Information
 
Three Months Ended 
March 31,
(In millions)
2020
 
2019
Net cash provided by operating activities included:
 
 
 
Interest paid (net of amounts capitalized)
$
303

 
$
269

Net income taxes paid to taxing authorities
(9
)
 
42

Non-cash investing and financing activities:
 
 
 
Contribution of assets(a)

 
143

Fair value of assets acquired(b)

 
350


(a)  
2019 includes the contribution of net assets to Capline LLC. See Note 13.
(b) 
2019 includes the recognition of the Capline LLC equity method investment. See Note 13.
Schedule of Cash and Cash Equivalents
(In millions)
March 31,
2020
 
December 31,
2019
Cash and cash equivalents
$
1,690

 
$
1,527

Restricted cash(a)
4

 
2

Cash, cash equivalents and restricted cash
$
1,694

 
$
1,529

(a) 
The restricted cash balance is included within other current assets on the consolidated balance sheets.

Reconciliation of Additions to Property, Plant and Equipment to Total Capital Expenditures
The consolidated statements of cash flows exclude changes to the consolidated balance sheets that did not affect cash. The following is a reconciliation of additions to property, plant and equipment to total capital expenditures:
 
Three Months Ended 
March 31,
(In millions)
2020
 
2019
Additions to property, plant and equipment per the consolidated statements of cash flows
$
1,062

 
$
1,241

Decrease in capital accruals
(166
)
 
(235
)
Total capital expenditures
$
896

 
$
1,006