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Annual report pursuant to Section 13 and 15(d)

FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)

v3.22.0.1
FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
12 Months Ended
Dec. 31, 2021
Fair Value Disclosures [Abstract] Ìý
Reconciliation of Changes in Fair Value of Financial Instruments Measured on a Recurring Basis
The following tables represent a reconciliation of the changes in fair value of financial instruments measured at fair value on a recurring basis using significant unobservable inputs (Level 3):
(In Millions)
Level 3 Assets
2021 2020
Beginning balance - January 1 $ â€�Ìý $ 45Ìý
Total gains included in earnings â€�Ìý 122Ìý
Settlements â€�Ìý (27)
Settlement of pre-existing relationship â€�Ìý (140)
Ending balance - December 31 $ â€�Ìý $ —Ì�
Total gains for the period included in earnings attributable to the change in unrealized gains on assets still held at the reporting date $ â€�Ìý $ —Ì�
Summary of Carrying Value and Fair Value of Other Financial Instruments A summary of the carrying value and fair value of other financial instruments were as follows:
(In Millions)
December 31, 2021 December 31, 2020
Classification Carrying
Value
Fair Value Carrying
Value
Fair Value
Senior notes Level 1 $ 3,561Ìý $ 3,911Ìý $ 3,802Ìý $ 4,446Ìý
IRBs due 2024 to 2028 Level 1 68Ìý 66Ìý 94Ìý 91Ìý
EDC Revolving Facility - outstanding balance Level 2 â€�Ìý â€�Ìý 18Ìý 18Ìý
ABL Facility - outstanding balance Level 2 1,609Ìý 1,609Ìý 1,510Ìý 1,510Ìý
Total $ 5,238Ìý $ 5,586Ìý $ 5,424Ìý $ 6,065Ìý