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Long-Term Debt (Tables)
9 Months Ended
Sep. 30, 2025
Debt Disclosure [Abstract]  
Schedule of Aggregate Principal Amount of Floating and Fixed Rate Notes
The company issued $11.0 billion in aggregate principal amount of floating and fixed rate notes in 2025 as detailed in the table below.
Principal
(Millions of dollars)
4.405% notes due 2027
$750 
Floating rate notes due 2027750 
4.475% notes due 2028
1,000 
Floating rate notes due 2028500 
4.687% notes due 2030
1,100 
4.819% notes due 2032
650 
4.980% notes due 2035
750 
Total Long-Term Debt Issued in February 2025$5,500 
Principal
(Millions of dollars)
3.950% notes due 2027
$500 
4.050% notes due 2028
650 
Floating rate notes due 2028600 
4.300% notes due 2030
1,200 
Floating rate notes due 2030400 
4.500% notes due 2032
1,250 
4.850% notes due 2035
900 
Total Long-Term Debt Issued in August 2025$5,500