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FINANCIAL INSTRUMENTS AND RISK MANAGEMENT - Foreign Exchange Exposures (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Forward foreign exchange contracts    
Risk management    
Period of time of hedge contracts (in years) 1 year  
Percentage of exposure the hedge covers 100.00%  
Cash flow term (in months) 12 months  
Profit or loss term (in months) 12 months  
Amount contracted $ 2,400 $ 2,200
Currency risk | US Dollar    
Risk management    
Percentage of decrease in risk variable used for sensitivity analysis 10.00%  
Increase (decrease) in net borrowings that would result from decreased currency value, per sensitivity analysis $ 37  
Currency risk | US Dollar | Forward foreign exchange contracts    
Risk management    
Percentage of decrease in risk variable used for sensitivity analysis 10.00%  
Percentage of increase in risk variable used for sensitivity analysis 10.00%  
Increase (decrease) in fair value that would result from decreased currency value, per sensitivity analysis $ (67) (50)
Currency risk | Euro    
Risk management    
Increase (decrease) in net borrowings that would result from decreased currency value, per sensitivity analysis $ 37 41
Currency risk | Euro | Forward foreign exchange contracts    
Risk management    
Percentage of decrease in risk variable used for sensitivity analysis 10.00%  
Increase (decrease) in fair value that would result from decreased currency value, per sensitivity analysis $ 38 $ 35