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LONG-TERM DEBT (Tables)
12 Months Ended
Dec. 31, 2025
Debt Disclosure [Abstract]  
Schedule of Long-Term Debt
We provide detail on our long-term debt balances, net of discounts, premiums, and debt issuance costs, in the following table at year-end 2025 and 2024:
($ in millions)
Interest RateEffective Interest Rate
Face Amount
Balance as of December 31, 2025Balance as of December 31, 2024
Senior Notes:
Series P Notes, matured October 1, 2025
3.8 %4.0 %$350 $— $349 
Series R Notes, maturing June 15, 2026
3.1 %3.3 %750 749 749 
Series V Notes, matured March 15, 2025
3.8 %2.8 %318 — 319 
Series W Notes, maturing October 1, 2034
4.5 %4.1 %278 287 287 
Series X Notes, maturing April 15, 2028
4.0 %4.2 %450 448 447 
Series AA Notes, maturing December 1, 2028
4.7 %4.8 %300 299 298 
Series EE Notes, matured May 1, 2025
5.8 %6.0 %600 — 599 
Series FF Notes, maturing June 15, 2030
4.6 %4.8 %1,000 992 991 
Series GG Notes, maturing October 15, 2032
3.5 %3.7 %1,000 990 989 
Series HH Notes, maturing April 15, 2031
2.9 %3.0 %1,100 1,094 1,093 
Series II Notes, maturing October 15, 2033
2.8 %2.8 %700 695 695 
Series JJ Notes, maturing October 15, 2027
5.0 %5.4 %1,000 994 990 
Series KK Notes, maturing April 15, 2029
4.9 %5.3 %800 790 788 
Series LL Notes, maturing September 15, 2026
5.5 %5.9 %450 449 447 
Series MM Notes, maturing October 15, 2028
5.6 %5.9 %700 694 693 
Series NN Notes, maturing May 15, 2029
4.9 %5.3 %500 493 491 
Series OO Notes, maturing May 15, 2034
5.3 %5.6 %1,000 982 980 
Series PP Notes, maturing March 15, 2030
4.8 %5.0 %500 496 495 
Series QQ Notes, maturing March 15, 2035
5.4 %5.5 %1,000 987 986 
Series RR Notes, maturing April 15, 2032
5.1 %5.4 %500 493 — 
Series SS Notes, maturing April 15, 2037
5.5 %5.7 %1,500 1,475 — 
Series TT Notes, maturing July 15, 2027
4.2 %4.5 %400 398 — 
Series UU Notes, maturing October 15, 2031
4.5 %4.9 %500 491 — 
Series VV Notes, maturing October 15, 2035
5.3 %5.5 %600 588 — 
Commercial paper1,177 1,582 
Credit Facility— — 
Finance lease obligations120 124 
Other23 55 
$16,204 $14,447 
Less current portion(1,209)(1,309)
$14,995 $13,138 
Schedule of Future Principal Payments for Debt
The following table presents future principal payments, net of discounts, premiums, and debt issuance costs, for our debt at year-end 2025:
(in millions)
Debt Principal Payments
2026$1,209 
20272,581 
20281,454 
20291,297 
20301,503 
Thereafter8,160 
Balance at year-end 2025$16,204