XML 52 R34.htm IDEA: XBRL DOCUMENT v3.25.0.1
Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2024
Fair Value Disclosures [Abstract]  
Schedule of Derivative Instruments at Fair Value and Their Locations on the Balance Sheets
We have elected to offset the recognized fair value amounts for multiple derivative instruments executed with the same counterparty in our financial statements when a legal right of offset exists. The following tables summarize those derivative balances subject to the right of offset as presented on our Consolidated Balance Sheets (in millions):
Fair Value as of December 31, 2024
Gross Amounts RecognizedGross Amounts OffsetNet Amounts PresentedCash CollateralGross Amounts Without Right of OffsetNet Amounts
Assets:
Commodities contracts$467.6 $253.2 $214.4 $0.1 $— $214.3 
Interest rate contract2.9 — 2.9 — — 2.9 
Foreign currency contracts29.1 20.7 8.5 — — 8.5 
Total assets at fair value$499.6 $273.9 $225.8 $0.1 $— $225.6 
Liabilities:
Commodities contracts$378.7 $253.2 $125.5 $12.1 $— $113.4 
Foreign currency contracts22.9 20.7 2.3 — — 2.3 
Total liabilities at fair value$401.6 $273.9 $127.8 $12.1 $— $115.6 
Fair Value as of December 31, 2023
Gross Amounts RecognizedGross Amounts OffsetNet Amounts PresentedCash CollateralGross Amounts Without Right of OffsetNet Amounts
Assets:
Commodities contracts$791.8 $399.0 $392.8 $45.2 $— $347.7 
Interest rate contract14.8 — 14.8 — — 14.8 
Foreign currency contracts34.1 19.1 15.0 — — 15.0 
Total assets at fair value$840.7 $418.0 $422.7 $45.2 $— $377.5 
Liabilities:
Commodities contracts$669.1 $399.0 $270.1 $100.5 $— $169.7 
Foreign currency contracts28.7 19.1 9.6 — — 9.6 
Total liabilities at fair value$697.8 $418.0 $279.7 $100.5 $— $179.2 
Schedule of assets and liabilities measured at estimated fair value on a recurring basis
The following tables present information about our gross assets and liabilities that are measured at fair value on a recurring basis (in millions):
Fair Value Measurements as of December 31, 2024
Level 1 InputsLevel 2 InputsLevel 3 InputsTotal Fair Value
Assets:
Commodities contracts$157.4 $300.8 $9.4 $467.6 
Interest rate contract— 2.9 — 2.9 
Foreign currency contracts— 29.1 — 29.1 
Cash surrender value of life insurance— 20.0 — 20.0 
Total assets at fair value$157.4 $352.8 $9.4 $519.6 
Liabilities:
Commodities contracts$165.9 $209.1 $3.7 $378.7 
Foreign currency contracts— 22.9 — 22.9 
Total liabilities at fair value$165.9 $232.0 $3.7 $401.6 
Fair Value Measurements as of December 31, 2023
Level 1 InputsLevel 2 InputsLevel 3 InputsTotal Fair Value
Assets:
Commodities contracts$220.0 $560.2 $11.6 $791.8 
Interest rate contract— 14.8 — 14.8 
Foreign currency contracts— 34.1 — 34.1 
Cash surrender value of life insurance— 16.5 — 16.5 
Total assets at fair value$220.0 $625.6 $11.6 $857.3 
Liabilities:
Commodities contracts$322.1 $345.3 $1.8 $669.1 
Foreign currency contracts— 28.7 — 28.7 
Total liabilities at fair value$322.1 $373.9 $1.8 $697.8