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BORROWINGS (Tables)
12 Months Ended
Dec. 31, 2024
Debt Disclosure [Abstract]  
Schedule of Debt
Year Ended December 31,
20242023
2029 Dollar Term Loans$1,702 $1,786 
2027 Dollar Senior Notes500 500 
2029 Dollar Senior Notes700 700 
2031 Dollar Senior Notes500 500 
Short-term and other borrowings54 62 
Unamortized original issue discount(13)(17)
Unamortized deferred financing costs(22)(27)
Total borrowings, net3,421 3,504 
Less:
Short-term borrowings
Current portion of long-term borrowings17 19 
Long-term debt$3,401 $3,478 
Schedule of Debt Instrument Redemption We have the option to redeem all or part of the 2027 Dollar Senior Notes at the following redemption prices (expressed as percentages of principal amount), plus accrued and unpaid interest, if any, on or after June 15th of the years indicated:
Period2027 Dollar Senior Notes Percentage
2024101.188 %
2025 and thereafter100.000 %
We have the option to redeem all or part of the 2029 Dollar Senior Notes at the following redemption prices (expressed as percentages of principal amount) on or after February 15th of the years indicated:
Period2029 Dollar Senior Notes Percentage
2024101.688 %
2025100.844 %
2026 and thereafter100.000 %
We have the option to redeem all or part of the 2031 Dollar Senior Notes at the following redemption prices (expressed as percentages of principal amount) on or after November 15th of the years indicated:
Period2031 Dollar Senior Notes Percentage
2026103.625 %
2027101.813 %
2028 and thereafter100.000 %
Schedule of Maturities of Long-term Debt
Below is a schedule of required future repayments of all borrowings outstanding at December 31, 2024.
2025$20 
202621 
2027521 
202821 
20292,339 
Thereafter534 
Total borrowings$3,456 
Unamortized original issue discount(13)
Unamortized deferred financing costs(22)
Total borrowings, net$3,421