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Supplemental Cash Flow Information (Tables)
12 Months Ended
Dec. 31, 2022
Supplemental Cash Flow Information [Abstract]  
Summary of Supplemental Cash Flow Information
(In millions)202220212020
Net cash provided by operating activities included:
Interest paid (net of amounts capitalized)$813 $812 $821 
Income taxes paid
Cash paid for amounts included in the measurement of lease liabilities
Payments on operating leases73 79 87 
Interest payment under finance lease obligations— — 
Net cash provided by financing activities included:
Principal payments under finance lease obligations
Non-cash investing and financing activities:
Net transfers of property, plant and equipment (to)/from materials and supplies inventories(1)— 
ROU assets obtained in exchange for new operating lease obligations78 20 17 
ROU assets obtained in exchange for new finance lease obligations— 
Fair value of common units redeemed for Wholesale Exchange— — 340 
Summary of Reconciliation of Additions to Property, Plant and Equipment to Total Capital Expenditures [Table Text Block] 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 expenditure:
(In millions)202220212020
Additions to property, plant and equipment$806 $529 $1,183 
Increase/(decrease) in capital accruals47 11 (244)
Total capital expenditures$853 $540 $939