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COMPONENTS OF ACCUMULATED OTHER COMPREHENSIVE INCOME/(LOSS) (Tables)
12 Months Ended
Dec. 31, 2022
Comprehensive Income (Loss), Net of Tax, Attributable to Parent [Abstract]  
Schedule of Changes in AOCI Attributable to Enbridge Common Shareholders
Changes in AOCI attributable to our common shareholders for the years ended December 31, 2022, 2021 and 2020 are as follows:
Cash Flow
Hedges
Excluded
Components
of Fair Value
Hedges
Net
Investment
Hedges
Cumulative
Translation
Adjustment
Equity
Investees
Pension and
OPEB
Adjustment
Total
(millions of Canadian dollars)      
Balance as at January 1, 2022(897) (166)56 (5)(84)(1,096)
Other comprehensive income/(loss) retained in AOCI1,125 (35)(971)4,292 (6)411 4,816 
Other comprehensive loss/(income) reclassified to earnings      
Interest rate contracts1
186      186 
Foreign exchange contracts2
(4)     (4)
Other contracts3
4      4 
Amortization of pension and OPEB actuarial gain4
     (14)(14)
Other    16  16 
 1,311 (35)(971)4,292 10 397 5,004 
Tax impact      
Income tax on amounts retained in AOCI(250)    (99)(349)
Income tax on amounts reclassified to earnings(43)    4 (39)
 (293)    (95)(388)
Balance as at December 31, 2022121 (35)(1,137)4,348 5 218 3,520 
Cash Flow
Hedges
Excluded
Components
of Fair Value
Hedges
Net
Investment
Hedges
Cumulative
Translation
Adjustment
Equity
Investees
Pension and
OPEB
Adjustment
Total
(millions of Canadian dollars)
Balance as at January 1, 2021(1,326)(215)568 66 (499)(1,401)
Other comprehensive income/(loss) retained in AOCI
238 (5)49 (492)(12)520 298 
Other comprehensive loss/(income) reclassified to earnings
Interest rate contracts1
296 — — — — — 296 
Commodity contracts5
— — — — — 
Foreign exchange contracts2
— — — — — 
Other contracts3
— — — — — 
Equity investment disposal— — — — (66)— (66)
Amortization of pension and OPEB actuarial loss and prior service costs4
— — — — — 28 28 
Other17 — — (20)— — 
559 (5)49 (512)(75)548 564 
Tax impact
Income tax on amounts retained in AOCI(61)— — — — (126)(187)
Income tax on amounts reclassified to earnings(69)— — — (7)(72)
(130)— — — (133)(259)
Balance as at December 31, 2021(897)— (166)56 (5)(84)(1,096)
Cash Flow
Hedges
Excluded
Components
of Fair Value
Hedges
Net
Investment
Hedges
Cumulative
Translation
Adjustment
Equity
Investees
Pension and
OPEB
Adjustment
Total
(millions of Canadian dollars)
Balance as at January 1, 2020(1,073)— (317)1,396 67 (345)(272)
Other comprehensive income/(loss) retained in AOCI
(591)115 (828)(2)(221)(1,522)
Other comprehensive loss/(income) reclassified to earnings
Interest rate contracts1
253 — — — — — 253 
Foreign exchange contracts2
— — — — — 
Other contracts3
(2)— — — — — (2)
Amortization of pension and OPEB actuarial loss and prior service costs4
— — — — — 17 17 
(335)115 (828)(2)(204)(1,249)
Tax impact
Income tax on amounts retained in AOCI140 — (13)— 54 182 
Income tax on amounts reclassified to earnings(58)— — — — (4)(62)
82 — (13)— 50 120 
Balance as at December 31, 2020(1,326)(215)568 66 (499)(1,401)
1Reported within Interest expense in the Consolidated Statements of Earnings.
2Reported within Transportation and other services revenues and Other income/(expense) in the Consolidated Statements of Earnings.
3Reported within Operating and administrative expense in the Consolidated Statements of Earnings.
4These components are included in the computation of net periodic benefit (credit)/cost and are reported within Other income/(expense) in the Consolidated Statements of Earnings.
5Reported within Transportation and other services revenues, Commodity sales, Commodity costs and Operating and administrative expense in the Consolidated Statements of Earnings.