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Loans Payable, Long-Term Debt and Other Commitments (Tables)
12 Months Ended
Dec. 31, 2017
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments
Long-term debt at December 31 consisted of:
 
2017
 
2016
2.75% notes due 2025
$
2,488

 
$
2,487

3.70% notes due 2045
1,973

 
1,972

2.80% notes due 2023
1,744

 
1,743

5.00% notes due 2019
1,260

 
1,273

4.15% notes due 2043
1,237

 
1,236

1.85% notes due 2020
1,232

 
1,238

2.35% notes due 2022
1,220

 
1,228

1.125% euro-denominated notes due 2021
1,185

 
1,035

1.875% euro-denominated notes due 2026
1,178

 
1,028

3.875% notes due 2021
1,140

 
1,152

2.40% notes due 2022
993

 
1,003

6.50% notes due 2033
729

 
806

Floating-rate notes due 2020
699

 
698

0.50% euro-denominated notes due 2024
591

 
516

1.375% euro-denominated notes due 2036
587

 
512

2.50% euro-denominated notes due 2034
585

 
511

3.60% notes due 2042
489

 
489

6.55% notes due 2037
415

 
594

5.75% notes due 2036
338

 
369

5.95% debentures due 2028
306

 
355

5.85% notes due 2039
270

 
415

6.40% debentures due 2028
250

 
325

6.30% debentures due 2026
135

 
152

Floating-rate borrowing due 2018

 
999

1.10% notes due 2018

 
999

1.30% notes due 2018

 
985

Other
309

 
154

 
$
21,353

 
$
24,274