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FINANCING ARRANGEMENTS (Tables)
12 Months Ended
Dec. 31, 2021
Debt Disclosure [Abstract]  
Schedule of Short-Term Debt Short-term debt was as follows:
Year Ended December 31,
20212020
PrincipalInterestPrincipalInterest
(in millions except percentages)BalanceRateBalanceRate
Corporate commercial paper facility$170 0.3 %$— — %
Other short-term borrowings11 4.8 %1.9 %
Add: Current portion of long-term debt296 
Total short-term debt$182 $299 
Maximum month-end short-term debt outstanding during the year$380 $299 
Average amount of short-term debt outstanding during the year$265 $95 
Weighted-average interest rate on short-term debt at year-end0.6 %1.9 %
Schedule of Long-term Debt Long-term debt was as follows:
Year Ended December 31,
20212020
PrincipalInterestPrincipalInterest
(in millions except percentages)BalanceRateBalanceRate
Fixed rate senior notes $450 million due August 2021
$— — %$296 4.1 %
Private placement notes 70 million euros due October 2024
79 1.0 %85 1.0 %
Private placement notes 25 million Swiss franc due December 2025
27 0.9 %28 0.9 %
Private placement notes 97 million euros due December 2025
110 2.1 %118 2.1 %
Private placement notes 26 million euros due February 2026
30 2.1 %32 2.1 %
Private placement notes 58 million Swiss franc due August 2026
64 1.0 %65 1.0 %
Private placement notes 106 million euros due August 2026
121 2.3 %129 2.3 %
Private placement notes 70 million euros due October 2027
80 1.3 %85 1.3 %
Private placement notes 8 million Swiss franc due December 2027
1.0 %1.0 %
Private placement notes 15 million euros due December 2027
17 2.2 %18 2.2 %
Private placement notes 140 million Swiss franc due August 2028
153 1.2 %158 1.2 %
Private placement notes 70 million euros due October 2029
79 1.5 %85 1.5 %
Fixed rate senior notes 750 million due June 2030
750 3.3 %750 3.3 %
Private placement notes 70 million euros due October 2030
80 1.6 %85 1.6 %
Private placement notes 45 million euros due February 2031
51 2.5 %55 2.5 %
Private placement notes 65 million Swiss franc due August 2031
71 1.3 %73 1.3 %
Private placement notes 12.6 billion Japanese yen due September 2031
109 1.0 %122 1.0 %
Private placement notes 70 million euros due October 2031
80 1.7 %85 1.7 %
Other borrowings, various currencies and rates13 
$1,922 $2,284 
Less: Current portion
(included in “Notes payable and current portion of long-term debt” in the Consolidated Balance Sheets)296 
Less: Long-term portion of deferred financing costs10 
Long-term portion$1,913 $1,978 
Schedule of Maturities of Long-term Debt
The table below reflects the contractual maturity dates of the various long-term borrowings as follows:
(in millions)December 31, 2021
2022$
202311 
202484 
2025138 
2026213 
2027 and beyond1,473 
 $1,922