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Long-Term Debt - (Narrative) (Details)
6 Months Ended
Jun. 15, 2018
USD ($)
May 16, 2018
USD ($)
Jul. 25, 2017
USD ($)
Jul. 10, 2017
USD ($)
Mar. 15, 2017
USD ($)
Jun. 30, 2018
USD ($)
Jun. 30, 2017
USD ($)
Jul. 31, 2017
GBP (£)
Jul. 31, 2017
EUR (€)
Jul. 10, 2017
GBP (£)
Jul. 10, 2017
£ / $
Jul. 10, 2017
EUR (€)
Jul. 10, 2017
€ / $
Debt Instrument                          
Loss on extinguishment of debt           $ 1,000,000 $ 0            
Currency conversion rate                     1.27   1.12
Unamortized discount (premium), net           42,000,000              
Debt issuance cost           57,000,000              
Fair value aggregate difference           127,000,000              
Senior notes                          
Debt Instrument                          
Amount redeemed     $ 2,000,000,000                    
Senior notes amount   $ 1,000,000,000               £ 300,000,000   € 1,000,000,000  
Proceeds from issuance of senior debt   $ 979,000,000   $ 1,491,000,000                  
Weighted average interest rate     4.00%                    
Revolving loan                          
Debt Instrument                          
Credit facility outstanding amount           410,000,000              
Borrowing capacity remaining           $ 2,584,000,000              
Weighted average interest rate           3.22%              
Revolving loan | Letter of credit                          
Debt Instrument                          
Credit facility outstanding amount           $ 6,000,000              
Revolving loan | Senior notes                          
Debt Instrument                          
Repayments of revolving loan     $ 469,000,000                    
Revolving loan | FIS Credit Agreements                          
Debt Instrument                          
Total committed capital, credit agreement           $ 3,000,000,000              
Senior Notes due March 2022, interest payable semi-annually at 5.000% | Senior notes                          
Debt Instrument                          
Percentage of principal amount redeemed         100.00%                
Amount redeemed         $ 700,000,000                
Debt instrument, stated percentage         5.00%                
Loss on extinguishment of debt         $ 25,000,000                
Senior notes, Euro notes due 2021, interest payable at 0.400% | Senior notes                          
Debt Instrument                          
Debt instrument, stated percentage       0.40%                  
Senior notes amount | €                 € 500,000,000     500,000,000  
Senior notes, GBP notes due 2022, interest payable at 1.700%                          
Debt Instrument                          
Senior notes amount | £               £ 300,000,000          
Senior notes, GBP notes due 2022, interest payable at 1.700% | Senior notes                          
Debt Instrument                          
Debt instrument, stated percentage       1.70%                  
Senior notes amount | £                   £ 300,000,000      
Senior notes, Euro notes due 2024, interest payable at 1.100% | Senior notes                          
Debt Instrument                          
Debt instrument, stated percentage       1.10%                  
Senior notes amount | €                 € 500,000,000     € 500,000,000  
Senior Notes due October 2020, interest payable semi-annually at 3.625% (2020 Notes)                          
Debt Instrument                          
Debt instrument, stated percentage           3.625%              
Senior Notes due October 2020, interest payable semi-annually at 3.625% (2020 Notes) | Senior notes                          
Debt Instrument                          
Amount redeemed     $ 600,000,000                    
Debt instrument, stated percentage     3.625%                    
Senior Notes due October 2025, interest payable semi-annually at 5.000% | Senior notes                          
Debt Instrument                          
Amount redeemed     $ 600,000,000                    
Debt instrument, stated percentage     5.00%                    
Senior Notes due October 2022, interest payable semi-annually at 4.500% (2022 Notes)                          
Debt Instrument                          
Debt instrument, stated percentage           4.50%              
Senior Notes due October 2022, interest payable semi-annually at 4.500% (2022 Notes) | Senior notes                          
Debt Instrument                          
Amount redeemed     $ 200,000,000                    
Debt instrument, stated percentage     4.50%                    
Senior Notes due June 2024, interest payable semi-annually at 3.875% (2024 Notes)                          
Debt Instrument                          
Debt instrument, stated percentage           3.875%              
Senior Notes due June 2024, interest payable semi-annually at 3.875% (2024 Notes) | Senior notes                          
Debt Instrument                          
Amount redeemed     $ 300,000,000                    
Debt instrument, stated percentage     3.875%                    
Senior Notes due April 2023, interest payable semi-annually at 3.500% (2023 Notes)                          
Debt Instrument                          
Debt instrument, stated percentage           3.50%              
Senior Notes due April 2023, interest payable semi-annually at 3.500% (2023 Notes) | Senior notes                          
Debt Instrument                          
Amount redeemed     $ 300,000,000                    
Debt instrument, stated percentage     3.50%                    
Senior Notes due April 2018, interest payable semi-annually at 2.000%                          
Debt Instrument                          
Debt instrument, stated percentage           2.00%              
Senior Notes due April 2018, interest payable semi-annually at 2.000% | Senior notes                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Senior Notes due October 2018, interest payable semi-annually at 2.850%                          
Debt Instrument                          
Percentage of principal amount redeemed 100.00%                        
Amount redeemed $ 750,000,000                        
Debt instrument, stated percentage 2.85%         2.85%              
Loss on extinguishment of debt $ 1,000,000                        
Senior Notes due August 2021, interest payable semi-annually at 2.250% (2021 Notes)                          
Debt Instrument                          
Debt instrument, stated percentage           2.25%              
Senior Euro Notes due January 2021, interest payable annually at 0.400% (2021 Euro Notes)                          
Debt Instrument                          
Debt instrument, stated percentage           0.40%              
Senior GBP Notes due June 2022, interest payable annually at 1.700% (2022 GBP Notes)                          
Debt Instrument                          
Debt instrument, stated percentage           1.70%              
Senior Euro Notes due July 2024, interest payable annually at 1.100% (2024 Euro Notes)                          
Debt Instrument                          
Debt instrument, stated percentage           1.10%              
Senior Notes due October 2025, interest payable semi-annually at 5.000% (2025 Notes)                          
Debt Instrument                          
Debt instrument, stated percentage           5.00%              
Senior Notes due August 2026, interest payable semi-annually at 3.000% (2026 Notes)                          
Debt Instrument                          
Debt instrument, stated percentage           3.00%              
Senior Notes due May 2028, interest payable semi-annually at 4.250% (2028 Notes)                          
Debt Instrument                          
Debt instrument, stated percentage   4.25%       4.25%              
Senior notes amount   $ 400,000,000                      
Senior Notes due August 2046, interest payable semi-annually at 4.500% (2046 Notes)                          
Debt Instrument                          
Debt instrument, stated percentage           4.50%              
Senior Notes due May 2048, interest payable semi-annually at 4.750% (2048 Notes)                          
Debt Instrument                          
Debt instrument, stated percentage   4.75%       4.75%              
Senior notes amount   $ 600,000,000                      
Minimum | Senior Notes due October 2020, interest payable semi-annually at 3.625% (2020 Notes)                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Trigger price, period prior to maturity           1 month              
Minimum | Senior Notes due October 2022, interest payable semi-annually at 4.500% (2022 Notes)                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Trigger price, period prior to maturity           2 months              
Minimum | Senior Notes due June 2024, interest payable semi-annually at 3.875% (2024 Notes)                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Trigger price, period prior to maturity           3 months              
Minimum | Senior Notes due April 2023, interest payable semi-annually at 3.500% (2023 Notes)                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Trigger price, period prior to maturity           3 months              
Minimum | Senior Notes due August 2021, interest payable semi-annually at 2.250% (2021 Notes)                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Trigger price, period prior to maturity           1 month              
Minimum | Senior Euro Notes due January 2021, interest payable annually at 0.400% (2021 Euro Notes)                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Trigger price, period prior to maturity           1 month              
Minimum | Senior GBP Notes due June 2022, interest payable annually at 1.700% (2022 GBP Notes)                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Trigger price, period prior to maturity           1 month              
Minimum | Senior Euro Notes due July 2024, interest payable annually at 1.100% (2024 Euro Notes)                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Trigger price, period prior to maturity           3 months              
Minimum | Senior Notes due October 2025, interest payable semi-annually at 5.000% (2025 Notes)                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Trigger price, period prior to maturity           3 months              
Minimum | Senior Notes due August 2026, interest payable semi-annually at 3.000% (2026 Notes)                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Trigger price, period prior to maturity           3 months              
Minimum | Senior Notes due May 2028, interest payable semi-annually at 4.250% (2028 Notes)                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Trigger price, period prior to maturity           3 months              
Minimum | Senior Notes due August 2046, interest payable semi-annually at 4.500% (2046 Notes)                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Trigger price, period prior to maturity           6 months              
Minimum | Senior Notes due May 2048, interest payable semi-annually at 4.750% (2048 Notes)                          
Debt Instrument                          
Percentage of redemption price           100.00%              
Trigger price, period prior to maturity           6 months