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Debt - Summary of Outstanding Debt (Details)
€ in Millions, $ in Millions
1 Months Ended 12 Months Ended
May 31, 2022
USD ($)
Jan. 31, 2022
EUR (€)
Dec. 31, 2022
USD ($)
Dec. 31, 2021
USD ($)
Dec. 31, 2020
USD ($)
Nov. 30, 2022
USD ($)
Mar. 31, 2022
EUR (€)
SHORT-TERM              
Commercial paper     $ 3,926 $ 278      
Other borrowings (primarily non U.S.)     191 885      
Total short-term debt     4,117 1,163      
Long-term              
Carrying value of long-term debt including current portion     13,797 13,044      
Less: current portion of long-term debt     (1,599) (1,709)      
Total long-term debt     12,198 11,335      
Total debt     17,914 14,207      
Repayments of long-term debt     $ 1,785 1,468 $ 2,681    
0.250% Euro denominated notes due 2022              
Long-term              
Interest rate   0.25% 0.25%        
Carrying value of long-term debt including current portion     $ 0 1,137      
Repayments of long-term debt | €   € 1,000          
2.20% Notes due 2022              
Long-term              
Interest rate 2.20%   2.20%        
Carrying value of long-term debt including current portion     $ 0 500      
Repayments of long-term debt $ 500            
2.70% Notes due 2023              
Long-term              
Interest rate     2.70%        
Carrying value of long-term debt including current portion     $ 501 500      
2.00% Euro denominated notes due 2023              
Long-term              
Interest rate     2.00%        
Carrying value of long-term debt including current portion     $ 699 759      
5.875% GBP denominated notes due 2023              
Long-term              
Interest rate     5.875%        
Carrying value of long-term debt including current portion     $ 367 432      
1.20% Euro denominated notes due 2024              
Long-term              
Interest rate     1.20%        
Carrying value of long-term debt including current portion     $ 588 625      
1.875% Euro denominated notes due 2024              
Long-term              
Interest rate     1.875%        
Carrying value of long-term debt including current portion     $ 324 356      
4.800% Notes due 2024              
Long-term              
Interest rate     4.80%     4.80%  
Carrying value of long-term debt including current portion     $ 299 0      
Debt instrument, face amount           $ 300  
4.700% Notes due 2025              
Long-term              
Interest rate     4.70%     4.70%  
Carrying value of long-term debt including current portion     $ 598 0      
Debt instrument, face amount           $ 600  
2.65% Notes due 2025              
Long-term              
Interest rate     2.65%        
Carrying value of long-term debt including current portion     $ 400 399      
1.625% Euro denominated notes due 2025              
Long-term              
Interest rate     1.625%        
Carrying value of long-term debt including current portion     $ 533 565      
0.00% Euro denominated notes due 2026              
Long-term              
Interest rate     0.00%        
Carrying value of long-term debt including current portion     $ 751 799      
3.20% Notes due 2026              
Long-term              
Interest rate     3.20%        
Carrying value of long-term debt including current portion     $ 724 725      
3.434% Notes due 2026              
Long-term              
Interest rate     3.434%        
Carrying value of long-term debt including current portion     $ 198 197      
1.652% Euro denominated notes due 2027              
Long-term              
Interest rate     1.652%        
Carrying value of long-term debt including current portion     $ 88 94      
0.250% Euro denominated notes due 2027              
Long-term              
Interest rate     0.25%        
Carrying value of long-term debt including current portion     $ 802 850      
1.00% Euro denominated notes due 2027              
Long-term              
Interest rate     1.00%       1.00%
Carrying value of long-term debt including current portion     $ 536 0      
Debt instrument, face amount | €             € 500
1.00% Euro denominated notes due 2028              
Long-term              
Interest rate     1.00%        
Carrying value of long-term debt including current portion     $ 749 879      
1.10% Notes due 2030              
Long-term              
Interest rate     1.10%        
Carrying value of long-term debt including current portion     $ 696 696      
1.90% Euro denominated notes due 2030              
Long-term              
Interest rate     1.90%        
Carrying value of long-term debt including current portion     $ 111 118      
1.375% Euro denominated notes due 2031              
Long-term              
Interest rate     1.375%       1.375%
Carrying value of long-term debt including current portion     $ 803 0      
Debt instrument, face amount | €             € 750
0.550% Euro denominated notes due 2032              
Long-term              
Interest rate     0.55%        
Carrying value of long-term debt including current portion     $ 798 847      
0.375% Euro denominated notes due 2033              
Long-term              
Interest rate     0.375%        
Carrying value of long-term debt including current portion     $ 529 565      
1.625% Euro denominated notes due 2035              
Long-term              
Interest rate     1.625%       1.625%
Carrying value of long-term debt including current portion     $ 849 0      
Debt instrument, face amount | €             € 800
3.55% Notes due 2042              
Long-term              
Interest rate     3.55%        
Carrying value of long-term debt including current portion     $ 665 664      
2.00% Notes due 2050              
Long-term              
Interest rate     2.00%        
Carrying value of long-term debt including current portion     $ 296 296      
1.00% Euro denominated notes due 2051              
Long-term              
Interest rate     1.00%        
Carrying value of long-term debt including current portion     $ 731 788      
Non U.S. borrowings              
Long-term              
Carrying value of long-term debt including current portion     152 243      
Other              
Long-term              
Carrying value of long-term debt including current portion     10 10      
Derivatives Designated as Hedging Instruments - Fair Value | Interest rate swaps | Derivatives Designated as Hedging Instruments:              
Long-term              
Fair value increase     $ 56 $ 42