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Debt (Tables)
3 Months Ended
Mar. 31, 2016
Debt Disclosure [Abstract]  
Summary of Debt Instruments

Our debt consisted of the following (in millions):

 

     March 31,
2016
     December 31,
2015
 

Long-term debt

     

1.450% Senior Notes due 2017

   $ 500.0       $ 500.0   

2.000% Senior Notes due 2018

     1,150.0         1,150.0   

4.625% Senior Notes due 2019

     500.0         500.0   

2.700% Senior Notes due 2020

     1,500.0         1,500.0   

3.375% Senior Notes due 2021

     300.0         300.0   

3.150% Senior Notes due 2022

     750.0         750.0   

3.550% Senior Notes due 2025

     2,000.0         2,000.0   

4.250% Senior Notes due 2035

     500.0         500.0   

5.750% Senior Notes due 2039

     500.0         500.0   

4.450% Senior Notes due 2045

     1,250.0         1,250.0   

U.S. Term Loan

     2,100.0         2,500.0   

Japan Term Loan

     103.2         96.8   

Other long-term debt

     4.6         4.6   

Debt discount and issuance costs

     (78.0      (80.8

Adjustment related to interest rate swaps

     37.6         26.8   
  

 

 

    

 

 

 

Total long-term debt

   $ 11,117.4       $ 11,497.4