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Debt and Credit Facilities (Details) - USD ($)
1 Months Ended 9 Months Ended
Jun. 30, 2022
Feb. 28, 2022
Sep. 30, 2022
Dec. 31, 2021
Commercial paper     $ 0  
Borrowings outstanding under credit facility     0  
Other Long-term Debt     8,000,000 $ 10,000,000
Total debt     12,759,000,000 12,479,000,000
Less current maturities of debt     8,000,000 7,000,000
Total long-term debt     12,751,000,000 12,472,000,000
Unamortized debt issuance costs     55,000,000 62,000,000
Borrowing capacity on existing facilities     2,162,000,000 2,162,000,000
Fair value of senior unsecured notes     $ 10,401,000,000 13,391,000,000
Term Loan        
Debt instrument, face amount   $ 1,500,000,000    
Repayments of debt $ 500,000,000      
Maturity Date     Feb. 22, 2025  
Long-term Debt     $ 1,000,000,000 0
Term Loan | SOFR        
Basis spread on variable rate (as a percent)   0.725%    
Credit Agreement | Revolving Credit Facility        
Line of credit facility, maximum borrowing capacity     $ 2,250,000,000 1,500,000,000
Senior Unsecured Notes 1.125% due 2021        
Stated interest rate     1.125%  
Maturity Date     Nov. 30, 2023  
Unsecured Debt     $ 530,000,000 622,000,000
Senior Unsecured Notes, 0.600% Due 2023        
Stated interest rate     0.60%  
Maturity Date     Dec. 01, 2023  
Unsecured Debt     $ 599,000,000 598,000,000
Senior Unsecured Notes 3.375% due 2024        
Stated interest rate     3.375%  
Maturity Date     May 15, 2024  
Unsecured Debt     $ 595,000,000 593,000,000
Senior Unsecured Notes, 0.250% Due 2024        
Stated interest rate     0.25%  
Maturity Date     Dec. 03, 2024  
Unsecured Debt     $ 817,000,000 958,000,000
Senior Unsecured Notes, 1.150% Due 2025        
Stated interest rate     1.15%  
Maturity Date     Jun. 15, 2025  
Unsecured Debt     $ 647,000,000 645,000,000
Senior Unsecured Notes 3.375% due 2025        
Stated interest rate     3.375%  
Maturity Date     Nov. 01, 2025  
Unsecured Debt     $ 748,000,000 748,000,000
Senior Unsecured Notes 3.50% due 2026        
Stated interest rate     3.50%  
Maturity Date     Mar. 15, 2026  
Unsecured Debt     $ 995,000,000 994,000,000
Senior Unsecured Notes 2.125% due 2027        
Stated interest rate     2.125%  
Maturity Date     Nov. 30, 2027  
Unsecured Debt     $ 720,000,000 845,000,000
Senior Unsecured Notes 3.650% due 2028        
Stated interest rate     3.65%  
Maturity Date     Mar. 07, 2028  
Unsecured Debt     $ 597,000,000 597,000,000
Senior Unsecured Notes, 0.750% Due 2029        
Stated interest rate     0.75%  
Maturity Date     Mar. 01, 2029  
Unsecured Debt     $ 767,000,000 901,000,000
Senior Unsecured Notes, 1.950% Due 2030        
Stated interest rate     1.95%  
Maturity Date     Jun. 15, 2030  
Unsecured Debt     $ 991,000,000 990,000,000
Senior Unsecured Notes 2.625% due 2030        
Stated interest rate     2.625%  
Maturity Date     Nov. 30, 2030  
Unsecured Debt     $ 619,000,000 727,000,000
Senior Unsecured Notes, 1.000% Due 2031        
Stated interest rate     1.00%  
Maturity Date     Dec. 03, 2031  
Unsecured Debt     $ 715,000,000 840,000,000
Senior Unsecured Notes 4.100% due 2043        
Stated interest rate     4.10%  
Maturity Date     Apr. 01, 2043  
Unsecured Debt     $ 392,000,000 392,000,000
Senior Unsecured Notes 4.375% due 2044        
Stated interest rate     4.375%  
Maturity Date     May 15, 2044  
Unsecured Debt     $ 395,000,000 395,000,000
Senior Unsecured Notes 4.625% due 2046        
Stated interest rate     4.625%  
Maturity Date     Mar. 15, 2046  
Unsecured Debt     $ 982,000,000 982,000,000
Senior Unsecured Notes, 2.900% due 2050        
Stated interest rate     2.90%  
Maturity Date     Jun. 15, 2050  
Unsecured Debt     $ 642,000,000 $ 642,000,000
Commercial Paper        
Debt instrument, maturity     397 days