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Debt (Tables)
12 Months Ended
Dec. 31, 2023
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments
The following table provides a summary of the Company's outstanding debt and the fair values based on quoted market prices in less active markets as of December 31, 2023 and December 31, 2022:

Principal Amount at ParLevel 2 Fair Value as of
December 31,
2023
December 31,
2022
Issuance DateMaturityDecember 31,
2023
December 31,
2022
(in millions)(in millions)
5.750% Senior Notes
$400 $400 February 2014March 2024$400 $404 
5.875% Senior Notes
800 800 February 2015February 2025807 811 
3.000% Senior Notes (1)
519 503 April 2020June 2025516 495 
3.625% Senior Notes
500 500 April 2020June 2025491 479 
4.375% Senior Notes
1,000 1,000 October 2016November 2026996 980 
3.625% Senior Notes (1)
1,434 1,391 May 2017May 20271,454 1,338 
4.875% Senior Notes
1,600 1,600 October 2017April 20281,621 1,557 
5.875% Senior Notes
1,900 1,900 April 2018November 20282,009 1,930 
4.625% Senior Notes (1)
1,215 1,177 October 2018May 20291,300 1,151 
6.375% Senior Notes
800 800 October 2018May 2029872 830 
3.875% Senior Notes (1)
1,325 1,284 April 2019November 20291,372 1,201 
5.375% Senior Notes
900 900 April 2019November 2029931 885 
3.625% Senior Notes (1)
1,215 1,177 October 2019June 20301,237 1,078 
4.875% Senior Notes
1,000 1,000 October 2019June 20301,012 944 
$14,608 $14,432 $15,018 $14,083 
(1) The following Senior Notes have a principal amount denominated in euro: 3.000% Senior Notes for €470 million, 3.625% Senior Notes for €1,300 million, 4.625% Senior Notes for €1,100 million, 3.875% Senior Notes for €1,200 million, and 3.625% Senior Notes for €1,100 million.