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Borrowings (Tables)
12 Months Ended
Dec. 31, 2022
Debt Disclosure [Abstract]  
Schedule of Debt
Debt at December 31 consisted of the following:
20222021
Short-term commercial paper borrowings$1,498.0 $— 
Long-term notes 14,815.3 16,741.2
Other long-term debt6.9 10.8 
Unamortized debt issuance costs(77.2)(84.2)
Fair value adjustment on hedged long-term notes(4.4)216.9 
Total debt16,238.6 16,884.7 
Less current portion(1,501.1)(1,538.3)
Long-term debt$14,737.5 $15,346.4 
Summary of Long-term Notes
The following table summarizes long-term notes at December 31:
20222021
2.35% notes due 2022
$ $750.0 
3.00% notes due 2022
 99.2 
1.00% euro denominated notes due 2022
 678.2 
0.15% Swiss franc denominated notes due 2024
649.5 654.7 
7.125% notes due 2025
217.5 217.5 
2.75% notes due 2025
560.6 560.6 
1.625% euro denominated notes due 2026
799.3 847.7 
5.5% notes due 2027
364.3 364.3 
3.1% notes due 2027
401.5 401.5 
0.45% Swiss franc denominated notes due 2028
433.0 436.4 
3.375% notes due 2029
930.6 930.6 
0.42% Japanese yen denominated notes due 2029
172.1 199.0 
2.125% euro denominated notes due 2030
799.3 847.7 
0.625% euro denominated notes due 2031
639.4 678.2 
0.50% euro denominated notes due 2033
639.4 678.2 
0.56% Japanese yen denominated notes due 2034
69.7 80.5 
6.77% notes due 2036
158.6 158.6 
5.55% notes due 2037
444.7 444.7 
5.95% notes due 2037
266.8 266.8 
3.875% notes due 2039
240.3 240.3 
1.625% British pound denominated notes due 2043
301.2 337.1 
4.65% notes due 2044
38.3 38.3 
3.7% notes due 2045
386.8 386.8 
3.95% notes due 2047
347.0 347.0 
3.95% notes due 2049
958.2 958.2 
1.70% euro denominated notes due 2049
1,065.7 1,130.3 
0.97% Japanese yen denominated notes due 2049
57.4 66.3 
2.25% notes due 2050
1,250.0 1,250.0 
1.125% euro denominated notes due 2051
532.9 565.2 
4.15% notes due 2059
591.3 591.3 
2.50% notes due 2060
850.0 850.0 
1.375% euro denominated notes due 2061
746.0 791.2 
Unamortized note discounts(96.1)(105.2)
Total long-term notes$14,815.3 $16,741.2 
Schedule of Maturities of Long-term Debt
The aggregate amounts of maturities on long-term debt for the next five years are as follows:
20232024202520262027
Maturities on long-term debt$3.1 $649.5 $778.1 $799.3 $765.8 
Schedule of Additional Borrowings Disclosures
The aggregate amount of cash payments for interest on borrowings, net of capitalized interest, are as follows:
202220212020
Cash payments for interest on borrowings$323.7 $338.0 $345.8