v3.26.1
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (Details) - EMSP 334
shares in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2025
USD ($)
shares
EBP, Schedule of Asset Held for Investment [Line Items]  
PARTICIPANT LOANS $ 116,202
EBP, Asset Held for Investment $ 25,768,032
Minimum  
EBP, Schedule of Asset Held for Investment [Line Items]  
Maturity period 1 month
Participant loan, interest rate 3.75%
Maximum  
EBP, Schedule of Asset Held for Investment [Line Items]  
Maturity period 180 months
Participant loan, interest rate 10.00%
U.S. GOVERNMENT SECURITIES  
EBP, Schedule of Asset Held for Investment [Line Items]  
CURRENT VALUE $ 2,936,141
CORPORATE DEBT SECURITIES  
EBP, Schedule of Asset Held for Investment [Line Items]  
CURRENT VALUE 99,654
COMMON/COLLECTIVE TRUSTS  
EBP, Schedule of Asset Held for Investment [Line Items]  
CURRENT VALUE 15,255,249
Investment, Identifier [Axis]: COMMON STOCK, EXXON MOBIL CORPORATION  
EBP, Schedule of Asset Held for Investment [Line Items]  
CURRENT VALUE $ 7,360,786
Number of shares/units (in shares) | shares 61,166
Investment, Identifier [Axis]: COMMON/COLLECTIVE TRUSTS, NT AGGREGATE BOND INDEX FUND  
EBP, Schedule of Asset Held for Investment [Line Items]  
CURRENT VALUE $ 1,321,654
Number of shares/units (in shares) | shares 2,138
Investment, Identifier [Axis]: COMMON/COLLECTIVE TRUSTS, NT EXTENDED EQUITY MARKET INDEX FUND  
EBP, Schedule of Asset Held for Investment [Line Items]  
CURRENT VALUE $ 3,292,528
Number of shares/units (in shares) | shares 2,267
Investment, Identifier [Axis]: COMMON/COLLECTIVE TRUSTS, NT GOVERNMENT STIF FUND  
EBP, Schedule of Asset Held for Investment [Line Items]  
CURRENT VALUE $ 246,322
Number of shares/units (in shares) | shares 246,322
Investment, Identifier [Axis]: COMMON/COLLECTIVE TRUSTS, NT S&P 500 INDEX FUND  
EBP, Schedule of Asset Held for Investment [Line Items]  
CURRENT VALUE $ 8,004,223
Number of shares/units (in shares) | shares 299
Investment, Identifier [Axis]: COMMON/COLLECTIVE TRUSTS, NT WORLD EX-US INVESTABLE MARKET INDEX FUND  
EBP, Schedule of Asset Held for Investment [Line Items]  
CURRENT VALUE $ 2,390,522
Number of shares/units (in shares) | shares 7,736
Investment, Identifier [Axis]: CORPORATE DEBT SECURITIES | BK MONTREAL CH | September 8, 2028  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.25%
par/units $ 5,000
CURRENT VALUE $ 4,985
Investment, Identifier [Axis]: CORPORATE DEBT SECURITIES | BK MONTREAL MEDIU | March 31, 2028  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.75%
par/units $ 10,000
CURRENT VALUE $ 10,008
Investment, Identifier [Axis]: CORPORATE DEBT SECURITIES | CITIGROUP INC VAR | September 8, 2028  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.20%
par/units $ 10,000
CURRENT VALUE $ 9,982
Investment, Identifier [Axis]: CORPORATE DEBT SECURITIES | CR AGRICOLE CORP | September 22, 2028  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.20%
par/units $ 15,000
CURRENT VALUE $ 14,734
Investment, Identifier [Axis]: CORPORATE DEBT SECURITIES | INTL BUSINESS | February 19, 2028  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 3.45%
par/units $ 2,500
CURRENT VALUE $ 2,498
Investment, Identifier [Axis]: CORPORATE DEBT SECURITIES | MACQUARIE GROUP LTD | January 22, 2026  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 0.00%
par/units $ 15,000
CURRENT VALUE $ 14,965
Investment, Identifier [Axis]: CORPORATE DEBT SECURITIES | NATL BK CDA STR | September 15, 2028  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.25%
par/units $ 15,000
CURRENT VALUE $ 15,004
Investment, Identifier [Axis]: CORPORATE DEBT SECURITIES | OVERWATCH BRAVO FDG | January 28, 2026  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 0.00%
par/units $ 11,200
CURRENT VALUE $ 11,167
Investment, Identifier [Axis]: CORPORATE DEBT SECURITIES | PVTPL JACKSON | January 9, 2026  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 5.50%
par/units $ 1,286
CURRENT VALUE $ 1,286
Investment, Identifier [Axis]: CORPORATE DEBT SECURITIES | ROYAL BANK OF CA | March 24, 2028  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.70%
par/units $ 15,000
CURRENT VALUE $ 15,025
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | FEDERAL FARM CREDIT | November 20, 2028  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.07%
par/units $ 70,000
CURRENT VALUE $ 69,983
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | FEDERAL HO | December 4, 2028 1  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.05%
par/units $ 40,000
CURRENT VALUE $ 39,910
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | FEDERAL HO | December 4, 2028 2  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.05%
par/units $ 40,000
CURRENT VALUE $ 40,006
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | FEDERAL HOME LN MTG | November 13, 2028  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.15%
par/units $ 20,000
CURRENT VALUE $ 19,999
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | FEDERAL HOME LN MTG | November 16, 2028  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.20%
par/units $ 50,000
CURRENT VALUE $ 49,994
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | FEDERAL HOME LN MTG | November 6, 2028  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.20%
par/units $ 25,000
CURRENT VALUE $ 25,000
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | FNMA DTD | September 29, 2028 1  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.16%
par/units $ 25,000
CURRENT VALUE $ 25,000
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | FNMA DTD | September 29, 2028 2  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.18%
par/units $ 25,000
CURRENT VALUE $ 25,000
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | FNMA | September 21, 2028  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.16%
par/units $ 50,000
CURRENT VALUE $ 49,956
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | FREDDIE MAC | November 17, 2028  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.21%
par/units $ 50,000
CURRENT VALUE $ 50,000
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | U.S SAVINGS BOND SERIES EE | March 1, 2038  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 3.00%
par/units $ 148,331
CURRENT VALUE $ 148,331
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | U.S SAVINGS BOND SERIES I | February 1, 2038  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.08%
par/units $ 343,798
CURRENT VALUE $ 343,798
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | U.S SAVINGS BOND SERIES I | February 1, 2039  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 3.57%
par/units $ 294,902
CURRENT VALUE $ 294,902
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | U.S SAVINGS BOND SERIES I | January 1, 2033  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.48%
par/units $ 403,852
CURRENT VALUE $ 403,852
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | U.S SAVINGS BOND SERIES I | January 1, 2040  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 3.16%
par/units $ 269,263
CURRENT VALUE $ 269,263
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | U.S SAVINGS BOND SERIES I | January 1, 2043  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 2.86%
par/units $ 31,402
CURRENT VALUE $ 31,402
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | U.S SAVINGS BOND SERIES I | May 1, 2044  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 3.22%
par/units $ 245,841
CURRENT VALUE $ 245,841
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | U.S SAVINGS BOND SERIES I | October 1, 2031  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 5.90%
par/units $ 575,018
CURRENT VALUE $ 575,018
Investment, Identifier [Axis]: U.S. GOVERNMENT SECURITIES | U.S SAVINGS BOND SERIES I | October 1, 2032  
EBP, Schedule of Asset Held for Investment [Line Items]  
coupon 4.89%
par/units $ 228,886
CURRENT VALUE $ 228,886