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DEBT AND FINANCING ARRANGEMENTS (Tables)
6 Months Ended
Jun. 30, 2021
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments
The carrying value of our outstanding debt obligations as of June 30, 2021 and December 31, 2020 consists of the following (in millions):
Principal
Amount
Carrying Value
Maturity20212020
Commercial paper$498 2021$498 $15 
Fixed-rate senior notes:
3.125% senior notes
— 2021— 1,507 
2.050% senior notes
— 2021— 700 
2.450% senior notes
1,000 20221,020 1,028 
2.350% senior notes
600 2022599 599 
2.500% senior notes
1,000 2023997 997 
2.800% senior notes
500 2024498 498 
2.200% senior notes
400 2024398 398 
3.900% senior notes
1,000 2025996 995 
2.400% senior notes
500 2026498 498 
3.050% senior notes
1,000 2027993 993 
3.400% senior notes
750 2029746 746 
2.500% senior notes
400 2029397 397 
4.450% senior notes
750 2030744 743 
6.200% senior notes
1,500 20381,484 1,483 
5.200% senior notes
500 2040493 493 
4.875% senior notes
500 2040490 490 
3.625% senior notes
375 2042368 368 
3.400% senior notes
500 2046492 491 
3.750% senior notes
1,150 20471,137 1,137 
4.250% senior notes
750 2049742 742 
3.400% senior notes
700 2049688 688 
5.300% senior notes
1,250 20501,231 1,231 
Floating-rate senior notes:
Floating-rate senior notes— 2021— 350 
Floating-rate senior notes400 2022400 399 
Floating-rate senior notes500 2023500 499 
Floating-rate senior notes1,039 2049-20671,027 1,027 
Debentures:
7.620% debentures(1)
276 2030280 281 
Pound Sterling Notes:
5.500% notes
92 203191 90 
5.125% notes
630 2050597 586 
Euro Senior Notes:
0.375% senior notes
832 2023829 857 
1.625% senior notes
832 2025829 856 
1.000% senior notes
594 2028592 611 
1.500% senior notes
594 2032591 611 
Canadian senior notes:
2.125% senior notes
605 2024603 583 
Finance lease obligations419 2021-2159419 342 
Facility notes and bonds320 2029-2045320 320 
Other debt2021-2025
Total debt$22,760 22,591 24,654 
Less: current maturities(1,564)(2,623)
Long-term debt$21,027 $22,031 
(1) On April 1, 2020, the interest rate on these debentures decreased from 8.375% to 7.620% for the remaining 10 years until maturity.