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Debt and Credit Facilities (Tables)
6 Months Ended
Jun. 30, 2025
Long-Term Debt, Unclassified [Abstract]  
Schedule of Long-term Debt Instruments
Summary of Total Debt
June 30
December 31
Rate
Due
2025
2024
Senior unsecured notes:
1.150%
June 15, 2025
649
3.375%
November 1, 2025
750
750
3.500%
March 15, 2026
999
998
4.550%
February 10, 2027
497
2.125%
November 30, 2027
877
777
4.700%
February 10, 2028
696
3.650%
March 7, 2028
599
598
4.850%
December 8, 2028
596
596
3.375%
December 11, 2028
701
621
0.750%
March 1, 2029
935
828
4.250%
September 11, 2029
744
743
4.850%
February 10, 2030
793
1.950%
June 15, 2030
994
993
2.625%
November 30, 2030
756
669
1.000%
December 3, 2031
873
772
3.375%
September 11, 2032
930
824
4.625%
September 11, 2034
740
740
5.200%
February 10, 2035
989
3.625%
September 11, 2036
693
613
4.100%
April 1, 2043
393
393
4.375%
May 15, 2044
396
396
4.625%
March 15, 2046
984
984
2.900%
June 15, 2050
643
643
Other
2
10
Total debt
$16,580
$13,597
Less current maturities
1,751
1,409
Total long-term debt
$14,829
$12,188
June 30
December 31
2025
2024
Unamortized debt issuance costs
$78
$63
Borrowing capacity on existing facilities
$2,913
$2,160
Fair value of senior unsecured notes
$15,973
$12,780