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Subsequent Events (Tables)
9 Months Ended
May 31, 2016
Subsequent Events [Abstract]  
Details of Each Tranche of Notes Issued
The following table summarizes each tranche of notes issued on June 1, 2016:

Notes Issued
(in millions)
 
 
Maturity Date
 
Interest Rate
 
Interest Payment Dates
$
1,250
 
May 30, 2018
Fixed 1.750%
May 30 and November 30; commencing on November 30, 2016
 
1,500
 
June 1, 2021
Fixed 2.600%
June 1 and December 1; commencing on December 1, 2016
 
750
 
June 1, 2023
Fixed 3.100%
June 1 and December 1; commencing on December 1, 2016
 
1,900
 
June 1, 2026
Fixed 3.450%
June 1 and December 1; commencing on December 1, 2016
 
600
 
June 1, 2046
Fixed 4.650%
June 1 and December 1; commencing on December 1, 2016
$
6,000