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2421402 - Disclosure - Long-Term Debt (Details)
(http://www.chevron.com/role/LongTermDebtDetails)
TableDebt Instrument [Table]
Slicers (applies to each fact value in each table cell)
Debt Instrument [Line Items]Period [Axis]
2016-01-01 - 2016-12-31
2015-01-01 - 2015-12-31
2016-05-31
Long-term Debt, Type [Axis]Long-term Debt, Type [Axis]Long-term Debt, Type [Axis]
Notes Payable [Member]Debentures [Member]Medium-term Notes [Member]Long-term Debt, Type [Domain]Notes Payable [Member]Debentures [Member]Medium-term Notes [Member]Long-term Debt, Type [Domain]Corporate Bond Securities [Member]
Debt Instrument [Axis]Debt Instrument [Axis]Debt Instrument [Axis]Debt Instrument [Axis]Debt Instrument [Axis]Debt Instrument [Axis]Debt Instrument [Axis]Debt Instrument [Axis]Debt Instrument [Axis]
3.191% notes due 2023 [Member]2.954% notes due 2026 [Member]Floating rate notes due 2017 (1.091%) [Member]1.104% notes due 2017 [Member]1.718% notes due 2018 [Member]2.355% notes due 2022 [Member]1.365% notes due 2018 [Member]1.961% notes due 2020 [Member]Floating Rate Notes due 2018 (1.310%) [Member]4.95% notes due 2019 [Member]1.561% notes due 2019 [Member]2.100% notes due 2021 [Member]1.790% notes due 2018 [Member]2.419% notes due 2020 [Member]1.345% notes due 2017 [Member]1.344% notes due 2017 [Member]2.427% notes due 2020 [Member]2.193% notes due 2019 [Member]2.566% notes due 2023 [Member]3.326% notes due 2025 [Member]2.411% notes due 2022 [Member]Floating Rate Notes due 2021 (1.599%) [Member]Floating rate notes due 2019 (1.316%) [Member]Floating rate notes due 2022 (1.472%) [Member]0.889% notes due 2016 [Member]Floating rate notes due 2016 [Member]Amortizing Bank Loan due 2018 (1.527%) [Member]8.625% debentures due 2032 [Member]8.625 % debentures due 2031 [Member]8 % debentures due 2032 [Member]9.75 % debentures due 2020 [Member]8.875 % debentures due 2021 [Member]Medium-term notes, maturing from 2021 to 2038 (6.133%) [Member]Debt Instrument, Name [Domain]3.191% notes due 2023 [Member]2.954% notes due 2026 [Member]Floating rate notes due 2017 (1.091%) [Member]1.104% notes due 2017 [Member]1.718% notes due 2018 [Member]2.355% notes due 2022 [Member]1.365% notes due 2018 [Member]1.961% notes due 2020 [Member]Floating Rate Notes due 2018 (1.310%) [Member]4.95% notes due 2019 [Member]1.561% notes due 2019 [Member]2.100% notes due 2021 [Member]1.790% notes due 2018 [Member]2.419% notes due 2020 [Member]1.345% notes due 2017 [Member]1.344% notes due 2017 [Member]2.427% notes due 2020 [Member]2.193% notes due 2019 [Member]2.566% notes due 2023 [Member]3.326% notes due 2025 [Member]2.411% notes due 2022 [Member]Floating Rate Notes due 2021 (1.599%) [Member]Floating rate notes due 2019 (1.316%) [Member]Floating rate notes due 2022 (1.472%) [Member]0.889% notes due 2016 [Member]Floating rate notes due 2016 [Member]Amortizing Bank Loan due 2018 (1.527%) [Member]8.625% debentures due 2032 [Member]8.625 % debentures due 2031 [Member]8 % debentures due 2032 [Member]9.75 % debentures due 2020 [Member]8.875 % debentures due 2021 [Member]Medium-term notes, maturing from 2021 to 2038 (6.133%) [Member]Debt Instrument, Name [Domain]Debt Instrument, Name [Domain]
Long-term debt, excluding current maturities
                                 
35,193,000,000 1
                                 
33,542,000,000 1
 
Long-term debt instruments
2,250,000,000  
2,250,000,000  
2,050,000,000  
2,000,000,000  
2,000,000,000  
2,000,000,000  
1,750,000,000  
1,750,000,000  
1,650,000,000  
1,500,000,000  
1,350,000,000  
1,350,000,000  
1,250,000,000  
1,250,000,000  
1,100,000,000  
1,000,000,000  
1,000,000,000  
750,000,000  
750,000,000  
750,000,000  
700,000,000  
650,000,000  
400,000,000  
350,000,000  
0  
0  
178,000,000  
147,000,000  
108,000,000  
75,000,000  
54,000,000  
40,000,000  
38,000,000  
32,490,000,000  
2,250,000,000  
0  
2,050,000,000  
2,000,000,000  
2,000,000,000  
2,000,000,000  
1,750,000,000  
1,750,000,000  
800,000,000  
1,500,000,000  
0  
0  
1,250,000,000  
1,250,000,000  
1,100,000,000  
1,000,000,000  
1,000,000,000  
750,000,000  
0  
750,000,000  
700,000,000  
400,000,000  
400,000,000  
350,000,000  
750,000,000  
700,000,000  
110,000,000  
147,000,000  
108,000,000  
74,000,000  
54,000,000  
40,000,000  
38,000,000  
27,071,000,000  
 
Unamortized discounts and debt issuance costs
4,000,000  
 
6,000,000  
 
1,000,000  
 
1,000,000  
 
1,000,000  
 
5,000,000  
 
1,000,000  
 
2,000,000  
 
2,000,000  
 
2,000,000  
 
2,000,000  
 
2,000,000  
 
1,000,000  
 
2,000,000  
 
0  
 
1,000,000  
 
1,000,000  
 
1,000,000  
 
1,000,000  
 
2,000,000  
 
1,000,000  
 
1,000,000  
 
1,000,000  
 
0  
 
0  
 
0  
 
0  
 
1,000,000  
 
1,000,000  
 
1,000,000  
 
0  
 
0  
 
0  
 
44,000,000  
 
4,000,000  
 
0  
 
2,000,000  
 
2,000,000  
 
2,000,000  
 
5,000,000  
 
2,000,000  
 
2,000,000  
 
1,000,000  
 
2,000,000  
 
0  
 
0  
 
2,000,000  
 
2,000,000  
 
2,000,000  
 
1,000,000  
 
2,000,000  
 
1,000,000  
 
0  
 
2,000,000  
 
1,000,000  
 
1,000,000  
 
2,000,000  
 
1,000,000  
 
0  
 
1,000,000  
 
0  
 
1,000,000  
 
1,000,000  
 
1,000,000  
 
0  
 
0  
 
0  
 
43,000,000  
 
 
 
Debt due within one year
                                 
(6,256,000,000) 
                                 
(1,487,000,000) 
 
Unamortized discounts and debt issuance costs, due within one year
                                 
(3,000,000) 
                                 
(1,000,000) 
 
Reclassified from short-term debt
                                 
9,000,000,000  
                                 
8,000,000,000  
 
Total long-term debt
                                 
35,234,000,000  
                                 
33,584,000,000  
 
Unamortized discounts and debt issuance costs, excluding current maturities
                                 
41,000,000  
                                 
42,000,000  
 
Interest rate
3.191%  
2.954%  
1.091%  
1.104%  
1.718%  
2.355%  
1.365%  
1.961%  
1.31%  
4.95%  
1.561%  
2.10%  
1.79%  
2.419%  
1.345%  
1.344%  
2.427%  
2.193%  
2.566%  
3.326%  
2.411%  
1.599%  
1.316%  
1.472%  
0.889%  
 
1.527%  
8.625%  
8.625%  
8.00%  
9.75%  
8.875%  
6.133%  
                                    
Long-term debt maturing 2017
                                 
6,256,000,000  
                                   
Long-term debt maturing 2018
                                 
6,722,000,000  
                                   
Long-term debt maturing 2019
                                 
4,000,000,000  
                                   
Long-term debt maturing 2020
                                 
4,054,000,000  
                                   
Long-term debt maturing 2021
                                 
2,054,000,000  
                                   
Long-term debt maturing after 2021
                                 
9,404,000,000  
                                   
Debt issued
                                                                    
6,800,000,000  
1: 2015 adjusted to conform to ASU 2015-03. Refer to Note 5, "New Accounting Standards" beginning on page FS-32.