v3.26.1
SUPPLEMENTAL CASH FLOW INFORMATION (Tables)
6 Months Ended
Jun. 30, 2026
Cash Flow Statement [Abstract]  
Schedule of Interest and Income Taxes Paid
For the three-month
period ended June 30
For the six-month
period ended June 30
US$ MILLIONS2026202520262025
Interest paid$224 $199 $566 $492 
Income taxes paid$62 $55 $276 $252 
Schedule of Changes in Non-Cash Working Capital
Details of “Changes in non-cash working capital, net” on the Consolidated Statements of Cash flows are as follows:
For the three-month
period ended June 30
For the six-month
period ended June 30
US$ MILLIONS2026202520262025
Accounts receivable$11 $(17)$86 $(22)
Accounts payable and other146 151 (91)30 
Changes in non-cash working capital, net$157 $134 $(5)$