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Debt and Borrowing Arrangements - Additional Information (Detail)
1 Months Ended 3 Months Ended 12 Months Ended 1 Months Ended 1 Months Ended 12 Months Ended 1 Months Ended 1 Months Ended 12 Months Ended 1 Months Ended 12 Months Ended 1 Months Ended 1 Months Ended 12 Months Ended 1 Months Ended 9 Months Ended
Oct. 02, 2012
USD ($)
Sep. 24, 2012
USD ($)
Jan. 10, 2012
USD ($)
Dec. 31, 2013
USD ($)
Dec. 31, 2013
USD ($)
Dec. 31, 2012
USD ($)
Dec. 31, 2011
USD ($)
Dec. 31, 2013
Revolving Credit Facility
USD ($)
Oct. 11, 2013
Revolving Credit Facility
USD ($)
Dec. 31, 2013
Commercial Paper
Minimum
D
Dec. 31, 2013
Commercial Paper
Maximum
D
Oct. 02, 2012
Canadian Dollar Variable Rate Loan
USD ($)
Jun. 01, 2012
6.25% Senior Notes
USD ($)
Mar. 20, 2012
5.75% bonds
EUR (€)
Jul. 18, 2012
Debt Exchange
USD ($)
Jul. 18, 2012
6.500% Exchanged notes, due 2040
Debt Exchange
USD ($)
Jul. 18, 2012
6.125% Notes due in February 2018
Debt Exchange
USD ($)
Jul. 18, 2012
6.125% Notes due in Month 2018
Debt Exchange
USD ($)
Jul. 18, 2012
6.125% Notes due in Month 2018
Debt Exchange
USD ($)
Jul. 18, 2012
6.875% Notes due in January 2039
Debt Exchange
USD ($)
Jul. 18, 2012
6.875% Exchanged notes, due February 2038
Debt Exchange
USD ($)
Jul. 18, 2012
7.000% Exchanged notes, due August 2037
Debt Exchange
USD ($)
Jul. 18, 2012
6.500% Exchanged notes, due November 2031
Debt Exchange
USD ($)
Jun. 04, 2012
Kraft Foods Group
USD ($)
Dec. 11, 2013
Tender Offer
USD ($)
Dec. 11, 2013
Tender Offer
EUR (€)
Dec. 31, 2013
Tender Offer
USD ($)
Dec. 18, 2013
Tender Offer
USD ($)
Feb. 06, 2014
Tender Offer
Subsequent Event
USD ($)
Jan. 16, 2014
Tender Offer
Subsequent Event
USD ($)
Feb. 28, 2014
Tender Offer
Subsequent Event
USD ($)
Jan. 16, 2014
Tender Offer
Floating Rate Notes
Subsequent Event
USD ($)
Dec. 31, 2013
Tender Offer
Floating Rate Debt 2
USD ($)
Dec. 31, 2013
Tender Offer
Floating Rate Debt 2
EUR (€)
Dec. 18, 2013
Tender Offer
6.500% Notes due in August 2017
USD ($)
Feb. 06, 2014
Tender Offer
7.000% Notes due in August 2037
Subsequent Event
USD ($)
Feb. 06, 2014
Tender Offer
6.875% Notes due in February 2038
Subsequent Event
USD ($)
Feb. 06, 2014
Tender Offer
6.875% Notes due in January 2039
Subsequent Event
USD ($)
Feb. 06, 2014
Tender Offer
6.500% Notes due in February 2040
Subsequent Event
USD ($)
Dec. 18, 2013
Tender Offer
6.125% Notes due in February 2018
USD ($)
Dec. 18, 2013
Tender Offer
6.125% Notes due in August 2018
USD ($)
Dec. 18, 2013
Tender Offer
5.375% Notes due in February 2020
USD ($)
Jan. 16, 2014
London Interbank Offered Rate (LIBOR)
Tender Offer
Floating Rate Notes
Subsequent Event
Dec. 31, 2013
Euribor Rate
Tender Offer
Floating Rate Debt 2
Dec. 31, 2012
Cash Flow Hedges
USD ($)
Dec. 31, 2011
Cash Flow Hedges
USD ($)
Dec. 31, 2012
Cash Flow Hedges
Interest rate contracts
USD ($)
Dec. 31, 2011
Cash Flow Hedges
Interest rate contracts
USD ($)
Dec. 18, 2013
Cash Flow Hedges
Interest rate contracts
Tender Offer
USD ($)
Feb. 06, 2014
Cash Flow Hedges
Interest rate contracts
Tender Offer
Subsequent Event
USD ($)
Dec. 31, 2013
International Subsidiaries
USD ($)
Dec. 31, 2012
International Subsidiaries
USD ($)
Jan. 16, 2014
2.250% Fixed Rate Notes
Tender Offer
Subsequent Event
USD ($)
Jan. 16, 2014
4.000% Fixed Rate Notes
Tender Offer
Subsequent Event
USD ($)
Jun. 04, 2012
Senior unsecured notes
USD ($)
Jul. 18, 2012
Debt
USD ($)
Oct. 02, 2012
Notes (USD)
USD ($)
Dec. 31, 2013
Notes (USD)
Dec. 31, 2013
1.125% Fixed rate notes, due January 26, 2017
Tender Offer
USD ($)
Dec. 31, 2013
1.125% Fixed rate notes, due January 26, 2017
Tender Offer
EUR (€)
Dec. 31, 2013
2.375% Fixed rate notes due , January 26, 2021
Tender Offer
USD ($)
Dec. 31, 2013
2.375% Fixed rate notes due , January 26, 2021
Tender Offer
EUR (€)
Oct. 02, 2013
Notes One
USD ($)
Oct. 02, 2013
Notes Two
USD ($)
May 08, 2013
2.625% Notes Due May 8, 2013
USD ($)
Feb. 11, 2013
6.00% Senior Notes
USD ($)
Oct. 02, 2012
7.55% senior unsecured notes
USD ($)
Debt Instrument [Line Items]                                                                                                                                      
Commercial paper, Maturity period                   2 87                                                                                                                
Line of credit facility, maximum borrowing capacity                 $ 4,500,000,000                                                                                   $ 2,400,000,000 $ 2,400,000,000                              
Revolving credit agreement debt covenant               24,600,000,000                                                                                                                      
Total shareholders' equity, excluding accumulated other comprehensive earnings / (losses)               35,300,000,000                                                                                                                      
Line of credit facility outstanding amount               0                                                                                     226,000,000 274,000,000                              
Cash tender offer amount                                                       3,400,000,000 1,560,000,000                                                                            
Debt instrument repurchased, principal amount                               787,000,000 596,000,000 439,000,000 900,000,000 233,000,000 290,000,000 185,000,000 170,000,000         3,400,000,000 1,560,000,000           910,000,000 393,000,000 382,000,000 250,000,000 535,000,000 729,000,000 334,000,000 1,467,000,000                                                  
Debt instrument interest rate                               6.50% 6.125% 6.125% 5.375% 6.875% 6.875% 7.00% 6.50%                       6.50% 7.00% 6.875% 6.875% 6.50% 6.125% 6.125% 5.375%                                         5.125% 5.25% 2.625% 6.00% 7.55%
Debt instrument expiration                                 2018-02 2018-08 2020-02 2039-01 2038-02 2037-08 2031-11                       2017-08 2037-08 2038-02 2039-01 2040-02 2018-02 2018-08 2020-02                                                  
Debt instrument, principal amount     800,000,000                                         6,000,000,000 3,300,000,000 2,400,000,000       3,000,000,000   400,000,000 550,000,000 400,000,000                                     850,000,000 1,750,000,000         1,031,000,000 750,000,000 1,718,000,000 1,250,000,000         400,000,000
Loss on extinguishment of debt       (608,000,000) (608,000,000)                                           (608,000,000)   (492,000,000)                                                                            
Interest expense                                                                                                 4,000,000 2,500,000                                  
Debt instrument basis spread on variable rate     0.875%                                                                               0.52% 0.50%                                              
Deb instrument maturity date     Jul. 10, 2013                                                         Feb. 01, 2019 Jun. 11, 2015 Jun. 11, 2015                                     Feb. 01, 2019 Feb. 01, 2024         Jan. 26, 2017 Jan. 26, 2017 Jan. 26, 2021 Jan. 26, 2021          
Debt instrument, fixed interest rate                                                                                                         2.25% 4.00%         1.125% 1.125% 2.375% 2.375%          
Net proceeds from issuance of notes     798,800,000                                         5,900,000,000 3,239,000,000 2,381,000,000       2,982,000,000                                                                          
Discounts and deferred financing costs                                                 27,000,000           18,000,000                                                                        
Repayment of debt   800,000,000     7,559,000,000 4,495,000,000 1,114,000,000         150,000,000 900,000,000 2,000,000,000                                                                                                 1,000,000,000 800,000,000 1,000,000,000 750,000,000  
Debt transferred in Spin-Off 10,000,000,000                                                                                                           6,000,000,000 3,600,000,000 400,000,000                   400,000,000
Debt exchanged for new debt                             3,600,000,000                                                                                                        
Acquisition and divestiture related financing fees           (609,000,000)                 18,000,000                                                                                                        
Debt instrument expiration                               2040                                                                                   2040                  
Repayment of outstanding commercial paper borrowings                                               3,600,000,000                                                                                      
Deferred finance costs net                                               260,000,000                                                                                      
Redemption price   100.00%                                                                                                                                  
Accrued interest   2,000,000                                                                                                                                  
Fair value of total debt       18,835,000,000 18,835,000,000 22,946,000,000                                                                                                                          
Carrying value of total debt       17,121,000,000 17,121,000,000 19,425,000,000                                                                                                                          
Recognized loss in interest and other expenses, net                                                                                         (556,000,000) (173,000,000) (556,000,000) (156,000,000)                                      
Recognized loss, related to several interest rate swaps                                                                                               $ 157,000,000