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Debt (Tables)
12 Months Ended
Dec. 31, 2025
Debt Disclosure [Abstract]  
Schedule of Long-Term Debt
The carrying value of our long-term debt at December 31, 2025 and 2024 consists of the following:
20252024
Senior unsecured notes:
2.375%, due 2025
— 1,250 
5.350%, due 2025
— 399 
1.500%, due 2026
750 749 
4.500%, due 2026
349 349 
4.900%, due 2026
— 499 
3.650%, due 2027
1,597 1,596 
4.000%, due 2028
747 — 
4.101%, due 2028
1,244 1,238 
2.875%, due 2029
823 822 
5.150%, due 2029
613 601 
2.250%, due 2030
1,084 1,075 
4.750%, due 2030
751 731 
2.550%, due 2031
980 971 
4.950%, due 2031
751 726 
4.600%, due 2032
742 — 
4.100%, due 2032
596 596 
5.500%, due 2032
656 635 
4.750%, due 2033
1,005 973 
5.375%, due 2034
1,020 992 
5.950%, due 2034
335 335 
5.200%, due 2035
1,188 1,151 
5.000%, due 2036
985 — 
5.850%, due 2036
397 397 
6.375%, due 2037
365 364 
5.800%, due 2040
115 115 
4.625%, due 2042
861 860 
4.650%, due 2043
975 975 
4.650%, due 2044
768 768 
5.100%, due 2044
548 548 
4.375%, due 2047
1,389 1,389 
4.550%, due 2048
841 840 
3.700%, due 2049
813 813 
3.125%, due 2050
989 988 
3.600%, due 2051
1,234 1,234 
4.550% due 2052
690 689 
6.100%, due 2052
742 742 
5.125%, due 2053
1,085 1,084 
4.850%, due 2054
247 247 
5.650%, due 2054
986 985 
5.700%, due 2055
1,328 1,327 
5.700%, due 2055
492 — 
5.850% due 2064
790 789 
Surplus note:
9.000%, due 2027
25 25 
Total Long-Term Debt
31,896 30,867 
Current portion of long-term debt
(1,099)(1,649)
Long-term debt, less current portion
$30,797 $29,218