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Debt (Tables)
6 Months Ended
Jun. 30, 2025
Debt Disclosure [Abstract]  
Schedule of Long-Term Debt Total outstanding long-term debt is summarized below (in millions, except percentages):
MaturityCoupon RateEffective Interest RateAs of
December 31, 2024
As of
June 30, 2025
Debt
2016 U.S. dollar notes20262.00%2.23%$2,000 $2,000 
2020 U.S. dollar notes2025 - 2060
0.45% - 2.25%
0.57% - 2.33%
10,000 10,000 
2025 U.S. dollar notes2030 - 2065
4.00% - 5.30%
4.21% - 5.44%
5,000 
2025 Euro notes(1)
2029 - 2054
2.50% - 4.00%
2.69% - 4.12%
7,903 
      Total face value of long-term debt12,000 24,903 
  Unamortized discount and debt issuance costs(1)
(118)(296)
Less: Current portion of long-term notes(2)
(999)(1,000)
       Total long-term debt$10,883 $23,607 
(1)Principal, unamortized discount, and debt issuance costs for the euro-denominated notes include the effect of foreign exchange rates.
(2)Total current portion of long-term debt is included within accrued expenses and other current liabilities. See Note 7 for further details.