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Short-Term Borrowings and Long-Term Debt (Tables)
9 Months Ended
Sep. 30, 2022
Debt Instrument [Line Items]  
Long-Term Debt [Table Text Block]
In May 2022, the Company issued $6.0 billion of senior unsecured notes consisting of the following:
(in millions, except percentages)Par Value
3.700% notes due May 2027
$600 
4.000% notes due May 2029
900 
4.200% notes due May 2032
1,500 
4.750% notes due May 2052
2,000 
4.950% notes due May 2062
1,000 
Schedule of Subsequent Events
In October 2022, the Company issued $9.0 billion of senior unsecured notes consisting of the following:
(in millions, except percentages)Par Value
5.000% notes due October 2024
$500 
5.150% notes due October 2025
750 
5.250% notes due February 2028
1,000 
5.300% notes due February 2030
1,250 
5.350% notes due February 2033
2,000 
5.875% notes due February 2053
2,000 
6.050% notes due February 2063
1,500