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RISK MANAGEMENT AND FINANCIAL INSTRUMENTS - Other Financial Instruments (Details) - CAD ($)
$ in Millions
6 Months Ended
Jun. 30, 2020
Jun. 30, 2019
Dec. 31, 2019
Fair Value of Other Financial Instruments      
FMVA investments $ 56   $ 99
Long-term debt, carrying value 67,100   64,400
Long-term debt 74,000   70,500
Net Investment Hedges      
Fair Value of Other Financial Instruments      
Unrealized foreign exchange gain (loss) on translation of United States dollar denominated debt (371) $ 250  
Unrealized gain (loss) on change in fair value of outstanding forward exchange forward contracts (4) 3  
Realized gain (loss) associated with the settlement of foreign exchange forward contracts 0 0  
Realized gain (loss) associated with the settlement of United Stated dollar denominated debt that matured 0 $ 0  
Preferred share investment      
Fair Value of Other Financial Instruments      
Held to maturity investment at amortized cost $ 566   580
Cumulative dividends based on average yield of Government of Canada bonds, maturity period of bonds 10 years    
Cumulative dividends based on average yield of Government of Canada bonds, spread over reference rate (as a percent) 4.38%    
Held to maturity investment, fair value $ 566   580
Fair Value      
Fair Value of Other Financial Instruments      
Restricted long-term investments held in trust 508   434
Carrying value      
Fair Value of Other Financial Instruments      
Noncurrent notes receivable $ 1,034   $ 1,026