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Borrowings (Tables)
12 Months Ended
Jan. 03, 2021
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments
The components of long-term debt are as follows:
(Dollars in Millions)2020
 
Effective Rate %
 
2019
 
Effective Rate %
3% Zero Coupon Convertible Subordinated Debentures due 2020
$— — 51 3.00 
2.95% Debentures due 2020
— — 549 3.15 
1.950% Notes due 2020
— — 500 1.99 
3.55% Notes due 2021
450 3.67 449 3.67 
2.45% Notes due 2021
350 2.48 349 2.48 
1.65% Notes due 2021
999 1.65 999 1.65 
0.250% Notes due 2022 (1B Euro 1.2281)(2)/(1B Euro 1.1096)(3)

1,227 
(2)
0.26 1,108 
(3)
0.26 
2.25% Notes due 2022
999 2.31 998 2.31 
6.73% Debentures due 2023
250 
 
6.73 
 
250 
 
6.73 
3.375% Notes due 2023
803 3.17 804 3.17 
2.05% Notes due 2023
499 2.09 498 2.09 
0.650% Notes due 2024
(750MM Euro 1.2281)(2)/(750MM Euro 1.1096)(3)
919 
(2)
0.68 829 
(3)
0.68 
5.50% Notes due 2024
(500MM 1.3654 GBP )(2)/(500MM GBP 1.2987)(3)
679 
(2)
6.75 
 
645 
(3)
6.75 
2.625% Notes due 2025
748 2.63 748 2.63 
0.55% Notes due 2025(5)
996 0.57 — — 
2.45% Notes due 2026
1,994 2.47 1,993 2.47 
2.95% Notes due 2027
997 2.96 996 2.96 
0.95% Notes due 2027(5)
1,494 0.96 — — 
1.150% Notes due 2028 (750MM Euro 1.2281)(2)/(750MM Euro 1.1096)(3)
915 
(2)
1.21 825 
(3)
1.21 
2.90% Notes due 2028
1,495 2.91 1,494 2.91 
6.95% Notes due 2029
297 
 
7.14 
 
297 
 
7.14 
1.30% Notes due 2030(5)
1,743 1.30 — — 
4.95% Debentures due 2033
498 
 
4.95 
 
498 
 
4.95 
4.375% Notes due 2033
855 4.24 855 4.24 
1.650% Notes due 2035 (1.5B Euro 1.2281)(2)/(1.5B Euro 1.1096)(3)
1,827 
(2)
1.68 1,649 
(3)
1.68 
3.55% Notes due 2036
989 3.59 989 3.59 
5.95% Notes due 2037
992 
 
5.99 
 
992 
 
5.99 
3.625% Notes due 2037
1,488 3.64 1,487 3.64 
5.85% Debentures due 2038
696 
 
5.85 
 
696 
 
5.85 
3.400% Notes due 2038
991 3.42 991 3.42 
4.50% Debentures due 2040
539 
 
4.63 
 
539 
 
4.63 
2.10% Notes due 2040(5)
986 2.14 — — 
4.85% Notes due 2041
297 4.89 297 4.89 
4.50% Notes due 2043
496 4.52 495 4.52 
3.70% Notes due 2046
1,974 3.74 1,973 3.74 
3.75% Notes due 2047
991 3.76 991 3.76 
3.500% Notes due 2048
742 3.52 742 3.52 
2.250% Notes due 2050(5)
984 2.29 — — 
2.450% Notes due 2060(5)
1,228 2.49 — — 
Other
 
— 
 
18 
 
— 
Subtotal34,434 
(4)
2.85 %
(1)
27,594 
(4)
3.19 
(1)
Less current portion1,799 
 
 
 
1,100 
 
 
Total long-term debt$32,635 
 
 
 
26,494 
 
 

(1)Weighted average effective rate.
(2)Translation rate at January 3, 2021.
(3)Translation rate at December 29, 2019.
(4)The excess of the fair value over the carrying value of debt was $5.4 billion at the end of fiscal year 2020 and $3.0 billion at the end of fiscal year 2019.
(5)In the fiscal third quarter of 2020, the Company issued senior unsecured notes for a total of $7.5 billion.
Aggregate Maturities of Long Term Obligations
Aggregate maturities of long-term debt obligations commencing in 2021 are:
(Dollars in Millions)
20212022202320242025After 2025
$1,7992,2261,5521,5981,74425,515