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Debt and Credit Facilities (Tables)
3 Months Ended
Mar. 31, 2018
Long-term Debt, Unclassified [Abstract]  
Schedule of Long-term Debt Instruments
Summary of Total Debt
March 2018
December 2017
Senior unsecured notes:
 
 
 
Rate
 
Due
 
 
 
1.300%
 
April 1, 2018
$
600

$
600

 
1.800%
 
January 15, 2019
499

499

 
2.000%
 
March 8, 2019
748

748

 
4.375%
 
January 15, 2020
498

498

 
2.625%
 
March 15, 2021
746

746

 
3.375%
 
May 15, 2024
582

598

 
3.375%
 
November 1, 2025
745

745

 
3.500%
 
March 15, 2026
988

988

 
3.650%
 
March 7, 2028
595


 
4.100%
 
April 1, 2043
391

391

 
4.375%
 
May 15, 2044
395

394

 
4.625%
 
March 15, 2046
980

980

Commercial paper
100


Other
37

35

Total debt
$
7,904

$
7,222

Less current maturities of debt
1,984

632

Total long-term debt
$
5,920

$
6,590

 
 
 
Unamortized debt issuance costs
$
42

$
39

Available borrowing capacity
$
1,547

$
1,547

Fair value of senior unsecured notes
$
7,893

$
7,521