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Debt (Tables)
12 Months Ended
Dec. 31, 2018
Debt Disclosure [Abstract]  
Components of Long-term Debt The following table outlines the Company's outstanding debt instruments and capital lease obligations as at December 31, 2018.
(in millions of Canadian dollars except percentages)
 
Maturity
Currency
in which
payable
2018

2017

6.500%
10-year Notes
(A)
May 2018
U.S.$
$

$
345

6.250%
10-year Medium Term Notes
(A)
Jun 2018
CDN$

375

7.250%
10-year Notes
(A)
May 2019
U.S.$
477

439

9.450%
30-year Debentures
(A)
Aug 2021
U.S.$
341

314

5.100%
10-year Medium Term Notes
(A)
Jan 2022
CDN$
125

125

4.500%
10-year Notes
(A)
Jan 2022
U.S.$
339

311

4.450%
12.5-year Notes
(A)
Mar 2023
U.S.$
477

438

2.900%
10-year Notes
(A)
Feb 2025
U.S.$
955

878

3.700%
10.5-year Notes
(A)
Feb 2026
U.S.$
340

313

4.000%
10-year Notes
(A)
Jun 2028
U.S.$
682


7.125%
30-year Debentures
(A)
Oct 2031
U.S.$
477

439

5.750%
30-year Debentures
(A)
Mar 2033
U.S.$
334

307

4.800%
20-year Notes
(A)
Sep 2035
U.S.$
408

375

5.950%
30-year Notes
(A)
May 2037
U.S.$
607

558

6.450%
30-year Notes
(A)
Nov 2039
CDN$
400

400

5.750%
30-year Notes
(A)
Jan 2042
U.S.$
336

308

4.800%
30-year Notes
(A)
Aug 2045
U.S.$
748

687

6.125%
100-year Notes
(A)
Sep 2115
U.S.$
1,228

1,129

5.41%
Senior Secured Notes
(B)
Mar 2024
U.S.$
113

111

6.91%
Secured Equipment Notes
(C)
Oct 2024
CDN$
106

120

7.49%
Equipment Trust Certificates
(D)
Jan 2021
U.S.$
57

52

Obligations under capital leases
 
 
 
 
6.99%
 
(E)
Mar 2022
U.S.$
104

96

6.57%
 
(E)
Dec 2026
U.S.$
52

52

12.77%
 
(E)
Jan 2031
CDN$
4

3

 
 
 
8,710

8,175

Perpetual 4% Consolidated Debenture Stock
(F)
 
U.S.$
41

38

Perpetual 4% Consolidated Debenture Stock
(F)
 
G.B.£
6

6


 
 
8,757

8,219

Less: Unamortized fees on long-term debt
 
 
61

60

 
 
 
8,696

8,159

Less: Long-term debt maturing within one year
 
 
506

746

 
 
 
 
 
$
8,190

$
7,413

Schedule of Capital Lease Obligations Included in Long-Term Debt At December 31, 2018, capital lease obligations included in long-term debt were as follows:
(in millions of Canadian dollars)
Year
Capital leases

Minimum lease payments in:
 
 
 
2019
$
16

 
2020
16

 
2021
16

 
2022
114

 
2023
9

 
Thereafter
31

Total minimum lease payments
 
202

Less: Imputed interest
 
(43
)
Present value of minimum lease payments
 
159

Less: Current portion
 
(5
)
Long-term portion of capital lease obligations
 
$
154