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DERIVATIVES - Schedule of Fair Value Derivatives (Details) - Marketing Derivatives - USD ($)
$ in Millions
Sep. 30, 2023
Dec. 31, 2022
Gross and net fair values of outstanding derivatives    
Collateral received netted against derivative assets $ 4  
Collateral paid netted against derivative liabilities 130 $ 15
Other current assets    
Gross and net fair values of outstanding derivatives    
Netting, asset (2,359) (980)
Total net fair value, asset 34 67
Long-term receivables and other assets, net    
Gross and net fair values of outstanding derivatives    
Netting, asset (77) (1)
Total net fair value, asset 5 2
Accrued liabilities    
Gross and net fair values of outstanding derivatives    
Netting and collateral, liability 2,359 980
Total net fair value, liability (153) (54)
Deferred credits and other liabilities - other    
Gross and net fair values of outstanding derivatives    
Netting and collateral, liability 77 2
Total net fair value, liability 0 0
Level 1 | Other current assets    
Gross and net fair values of outstanding derivatives    
Commodity contract derivative asset, gross 2,317 920
Level 1 | Long-term receivables and other assets, net    
Gross and net fair values of outstanding derivatives    
Commodity contract derivative asset, gross 81 1
Level 1 | Accrued liabilities    
Gross and net fair values of outstanding derivatives    
Commodity contract derivative liability, gross (2,447) (938)
Level 1 | Deferred credits and other liabilities - other    
Gross and net fair values of outstanding derivatives    
Commodity contract derivative liability, gross (77) (1)
Level 2 | Other current assets    
Gross and net fair values of outstanding derivatives    
Commodity contract derivative asset, gross 76 127
Level 2 | Long-term receivables and other assets, net    
Gross and net fair values of outstanding derivatives    
Commodity contract derivative asset, gross 1 2
Level 2 | Accrued liabilities    
Gross and net fair values of outstanding derivatives    
Commodity contract derivative liability, gross (65) (96)
Level 2 | Deferred credits and other liabilities - other    
Gross and net fair values of outstanding derivatives    
Commodity contract derivative liability, gross 0 (1)
Level 3 | Other current assets    
Gross and net fair values of outstanding derivatives    
Commodity contract derivative asset, gross 0 0
Level 3 | Long-term receivables and other assets, net    
Gross and net fair values of outstanding derivatives    
Commodity contract derivative asset, gross 0 0
Level 3 | Accrued liabilities    
Gross and net fair values of outstanding derivatives    
Commodity contract derivative liability, gross 0 0
Level 3 | Deferred credits and other liabilities - other    
Gross and net fair values of outstanding derivatives    
Commodity contract derivative liability, gross $ 0 $ 0