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DEBT (Tables)
6 Months Ended
Jun. 30, 2024
Debt Disclosure [Abstract]  
Schedule of Credit Facilities
The following table provides details of our committed credit facilities as at June 30, 2024:

Maturity1
Total
Facilities
Draws2
Available
(millions of Canadian dollars)    
Enbridge Inc.2025-20498,671 4,263 4,408 
Enbridge (U.S.) Inc.2025-20288,689 2,221 6,468 
Enbridge Pipelines Inc.20252,000 754 1,246 
Enbridge Gas Inc.20252,500 200 2,300 
Total committed credit facilities 21,860 7,438 14,422 
1Maturity date is inclusive of the one-year term out option for certain credit facilities.
2Includes facility draws and commercial paper issuances that are back-stopped by credit facilities.
Schedule of Repayment of Debt
During the six months ended June 30, 2024, we completed the following long-term debt repayments totaling US$3.2 billion, $0.2 billion and €23 million:
CompanyRepayment DatePrincipal Amount
(millions of Canadian dollars, unless otherwise stated)
Enbridge Inc.
February 2024
Floating rate notes1
US$600
February 20242.15%senior notesUS$400
March 20245.97%
senior notes2
US$700
June 20243.50%senior notesUS$500
Enbridge Pipelines (Southern Lights) L.L.C.
June 20243.98%senior notesUS$42
Enbridge Pipelines Inc.
February 20248.20%debentures$200
Enbridge Southern Lights LP
January 20244.01%senior notes$10
Spectra Energy Partners, LP
March 20244.75%senior notesUS$1,000
Blauracke GmbH
April 20242.10%senior notes€23
1The notes carried an interest rate set to equal the Secured Overnight Financing Rate plus a margin of 63 basis points.
2The notes carried an original maturity date in March 2026, and were callable in March 2024, which was one year after their issuance.
Schedule of Amortization of Fair Value Adjustment
Amortization of the fair value adjustment is recorded to Interest expense in the Consolidated Statements of Earnings:
Three months ended June 30,Six months ended June 30,
 2024202320242023
(millions of Canadian dollars)    
(Increase)/decrease to Interest expense
(10)11 2 22 
Schedule of Long-Term Debt Instruments
During the six months ended June 30, 2024, we completed the following long-term debt issuances totaling US$4.7 billion:
CompanyIssue DatePrincipal Amount
(millions of Canadian dollars, unless otherwise stated)
Enbridge Inc.
April 20245.25%senior notes due April 2027US$750
April 20245.30%senior notes due April 2029US$750
April 20245.63%senior notes due April 2034US$1,200
April 20245.95%senior notes due April 2054US$800
June 20247.38%
fixed-to-fixed subordinated notes due March 20551
US$500
June 20247.20%
fixed-to-fixed subordinated notes due June 20542
US$700