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Debt - Commercial Paper, Credit Agreements and Senior Notes (Details)
1 Months Ended 12 Months Ended
Jan. 31, 2017
USD ($)
Aug. 31, 2016
USD ($)
Sep. 30, 2015
USD ($)
Jun. 30, 2015
USD ($)
Dec. 31, 2016
USD ($)
extension
item
Dec. 31, 2015
USD ($)
Dec. 31, 2014
USD ($)
Debt              
Repayments of senior notes         $ 175,000,000 $ 549,000,000 $ 0
PAA commercial paper notes              
Debt              
Maximum aggregate borrowing capacity         3,000,000,000.0    
PAA senior secured hedged inventory facility              
Debt              
Maximum aggregate borrowing capacity         1,900,000,000.0    
Committed borrowing capacity         $ 1,400,000,000    
Basis for variable interest rate         Eurocurrency Rate or the Base Rate    
Number of years by which maturity date of credit facility may be extended         1 year    
PAA senior secured hedged inventory facility | Minimum              
Debt              
Credit facility extensions available | extension         1    
PAA senior secured hedged inventory facility | Letters of credit              
Debt              
Committed borrowing capacity         $ 400,000,000    
PAA senior unsecured revolving credit facility              
Debt              
Maximum aggregate borrowing capacity         2,100,000,000.0    
Committed borrowing capacity         $ 1,600,000,000    
Basis for variable interest rate         Eurocurrency Rate, the Base Rate or the Canadian Prime Rate    
Number of years by which maturity date of credit facility may be extended         1 year    
PAA senior unsecured revolving credit facility | Minimum              
Debt              
Credit facility extensions available | item         1    
PAA senior unsecured 364-day revolving credit facility              
Debt              
Committed borrowing capacity         $ 1,000,000,000    
Basis for variable interest rate         Eurocurrency Rate or the Base Rate    
PAA senior notes              
Debt              
Debt instrument face value         $ 10,300,000,000 9,800,000,000  
PAA senior notes | Consolidated finance subsidiary co-issuer | PAA              
Debt              
Consolidated subsidiary, ownership interest (as a percent)         100.00%    
PAA senior notes | 4.50% senior notes due December 2026              
Debt              
Debt instrument face value         $ 750,000,000    
Public offering price (as a percent)         99.716%    
Debt instrument, interest rate         4.50%    
PAA senior notes | 4.65% senior notes due October 2025              
Debt              
Debt instrument face value           $ 1,000,000,000  
Public offering price (as a percent)           99.846%  
Debt instrument, interest rate         4.65% 4.65%  
PAA senior notes | 2.60% senior notes due December 2019              
Debt              
Debt instrument face value             $ 500,000,000
Public offering price (as a percent)             99.813%
Debt instrument, interest rate         2.60% 2.60%  
PAA senior notes | 4.90% senior notes due February 2045              
Debt              
Debt instrument face value             $ 650,000,000
Public offering price (as a percent)             99.876%
Debt instrument, interest rate         4.90% 4.90%  
PAA senior notes | 3.60% senior notes due November 2024              
Debt              
Debt instrument face value             $ 750,000,000
Public offering price (as a percent)             99.842%
Debt instrument, interest rate         3.60% 3.60%  
PAA senior notes | 4.70% senior notes due June 2044              
Debt              
Debt instrument face value             $ 700,000,000
Public offering price (as a percent)             99.734%
Debt instrument, interest rate         4.70% 4.70%  
PAA senior notes | 5.88% senior notes due August 2016              
Debt              
Repayments of senior notes   $ 175,000,000       $ 175,000,000  
Debt instrument, interest rate   5.88%       5.88%  
PAA senior notes | 6.13% senior notes due January 2017              
Debt              
Debt instrument, interest rate         6.13% 6.13%  
PAA senior notes | 5.25% senior notes due June 2015              
Debt              
Repayments of senior notes       $ 150,000,000      
Debt instrument, interest rate       5.25%      
PAA senior notes | 3.95% senior notes due September 2015              
Debt              
Repayments of senior notes     $ 400,000,000        
Debt instrument, interest rate     3.95%        
Subsequent Event | PAA senior notes | 6.13% senior notes due January 2017              
Debt              
Repayments of senior notes $ 400,000,000            
Debt instrument, interest rate 6.13%            
Non-extending Lender | PAA senior secured hedged inventory facility              
Debt              
Committed borrowing capacity         $ 126,300,000    
Non-extending Lender | PAA senior unsecured revolving credit facility              
Debt              
Committed borrowing capacity         $ 140,000,000