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Debt (Tables)
3 Months Ended
Mar. 31, 2020
Debt Disclosure [Abstract]  
Outstanding Amounts of Debt and Finance Leases
The outstanding amounts of debt and finance leases were as follows:
(In millions)March 31, 2020December 31, 2019
Short-term debt
   $1,000 million, Floating Rate Notes due 3/2020
$—  $999  
$300 million, 5.125% Notes due 6/2020
300  300  
$1,750 million, 3.2% Notes due 9/2020
1,748  1,748  
$349 million, 4.125% Notes due 9/2020
351  351  
$500 million, 2.6% Notes due 11/2020
497  496  
$400 million, Floating Rate Notes due 11/2020
400  400  
 $250 million, 4.375% Notes due 12/2020
249  249  
Commercial paper770  944  
Other, including finance leases25  27  
Total short-term debt$4,340  $5,514  
Long-term debt
$500 million, 3.3% Notes due 2021
$—  $499  
$300 million, 4.5% Notes due 2021
—  298  
$78 million, 6.37% Notes due 2021
78  78  
$1,000 million, Floating Rate Notes due 2021
998  998  
$1,250 million, 3.4% Notes due 2021
1,247  1,247  
$289 million, 4.75% Notes due 2021
292  1,272  
$277 million, 4% Notes due 2022
276  747  
$973 million, 3.9% Notes due 2022
972  999  
$500 million, 3.05% Notes due 2022
487  485  
$17 million, 8.3% Notes due 2023
17  17  
$63 million, 7.65% Notes due 2023
63  100  
$700 million, Floating Rate Notes due 2023
698  698  
$1,000 million, 3% Notes due 2023
969  966  
$2,187 million, 3.75% Notes due 2023
2,179  3,088  
$1,000 million, 3.5% Notes due 2024
973  970  
$900 million, 3.25% Notes due 2025
895  895  
$2,200 million, 4.125% Notes due 2025
2,189  2,188  
$1,500 million, 4.5% Notes due 2026
1,505  1,506  
$1,500 million, 3.4% Notes due 2027
1,400  1,396  
$259 million, 7.875% Debentures due 2027
259  259  
$600 million, 3.05% Notes due 2027
595  595  
$3,800 million, 4.375% Notes due 2028
3,777  3,776  
$1,500 million, 2.4% Notes due 2030
1,488  —  
$45 million, 8.3% Step Down Notes due 2033
45  45  
$190 million, 6.15% Notes due 2036
190  190  
$2,200 million, 4.8% Notes due 2038
2,179  2,178  
$750 million, 3.2% Notes due 2040
742  —  
$121 million, 5.875% Notes due 2041
119  119  
$448 million, 6.125% Notes due 2041
490  491  
$317 million, 5.375% Notes due 2042
315  315  
$1,500 million, 4.8% Notes due 2046
1,464  1,465  
$1,000 million, 3.875% Notes due 2047
988  988  
$3,000 million, 4.9% Notes due 2048
2,965  2,964  
$1,250 million, 3.4% Notes due 2050
1,235  —  
Other, including finance leases58  61  
Total long-term debt$32,147  $31,893  
Summary of Debt Issuances
PrincipalMaturity DateInterest RateNet Proceeds
$1,500 millionMarch 15, 20302.40%$1,491 million
$750 millionMarch 15, 20403.20%$743 million
$1,250 millionMarch 15, 20503.40%$1,237 million