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Subsequent Events (Details) - USD ($)
Jun. 01, 2016
May 31, 2016
Notes Due 2021 [Member]    
Debt Instruments [Abstract]    
Interest rate [1]   3.30%
Notes Due 2026 [Member]    
Debt Instruments [Abstract]    
Interest rate [1],[2]   2.125%
Subsequent Event [Member]    
Subsequent Event [Line Items]    
Percentage of principal amount of fixed rate notes can be redeemed 100.00%  
Percentage of redemption price 100.00%  
Required Purchase Price On Triggering Event 101.00%  
Reduced commitment amount $ 5,956,593,000  
Reduced commitment amount after issuance of notes 1,843,407,000  
Total issuance costs 32,000,000  
Additional senior unsecured bridge facility 2,000,000,000  
Debt Instruments [Abstract]    
Face amount of notes issued 6,000,000,000  
Subsequent Event [Member] | Notes Due 2018 [Member]    
Debt Instruments [Abstract]    
Face amount of notes issued $ 1,250,000,000  
Maturity date May 30, 2018  
Interest payment dates May 30 and November 30; commencing on November 30, 2016  
Interest rate 1.75%  
Subsequent Event [Member] | Notes Due 2021 [Member]    
Debt Instruments [Abstract]    
Face amount of notes issued $ 1,500,000,000  
Maturity date Jun. 01, 2021  
Interest payment dates June 1 and December 1; commencing on December 1, 2016  
Interest rate 2.60%  
Subsequent Event [Member] | Notes Due 2023 [Member]    
Debt Instruments [Abstract]    
Face amount of notes issued $ 750,000,000  
Maturity date Jun. 01, 2023  
Interest payment dates June 1 and December 1; commencing on December 1, 2016  
Interest rate 3.10%  
Subsequent Event [Member] | Notes Due 2026 [Member]    
Debt Instruments [Abstract]    
Face amount of notes issued $ 1,900,000,000  
Maturity date Jun. 01, 2026  
Interest payment dates June 1 and December 1; commencing on December 1, 2016  
Interest rate 3.45%  
Subsequent Event [Member] | Notes Due 2046 [Member]    
Debt Instruments [Abstract]    
Face amount of notes issued $ 600,000,000  
Maturity date Jun. 01, 2046  
Interest payment dates June 1 and December 1; commencing on December 1, 2016  
Interest rate 4.65%  
Subsequent Event [Member] | Treasury Rate [Member] | Notes Due 2018 [Member]    
Subsequent Event [Line Items]    
Basis spread on variable rate 0.15%  
Subsequent Event [Member] | Treasury Rate [Member] | Notes Due 2021 [Member]    
Subsequent Event [Line Items]    
Basis spread on variable rate 0.20%  
Subsequent Event [Member] | Treasury Rate [Member] | Notes Due 2023 [Member]    
Subsequent Event [Line Items]    
Basis spread on variable rate 0.25%  
Subsequent Event [Member] | Treasury Rate [Member] | Notes Due 2026 [Member]    
Subsequent Event [Line Items]    
Basis spread on variable rate 0.25%  
Subsequent Event [Member] | Treasury Rate [Member] | Notes Due 2046 [Member]    
Subsequent Event [Line Items]    
Basis spread on variable rate 0.35%  
[1] All notes are presented net of unamortized discount and debt issuance costs, where applicable.
[2] Euro denominated notes are translated at the spot rate of $1.12 to one Euro at May 31, 2016 and August 31, 2015, respectively.