XML 58 R43.htm IDEA: XBRL DOCUMENT v3.20.2
Debt (Tables)
6 Months Ended
Jul. 03, 2020
Debt Disclosure [Abstract]  
Schedule of Long-term Debt
Long-term debt is summarized below:
July 3, 2020January 3, 2020
 (In millions)
Variable-rate debt:
Floating rate notes, due April 30, 2020$—  $250  
Floating rate notes, due March 10, 2023250  —  
Total variable-rate debt250  250  
Fixed-rate debt:
4.95% notes, due February 15, 2021
650  650  
3.85% notes, due June 15, 2023
800  800  
3.95% notes, due May 28, 2024
350  350  
3.832% notes, due April 27, 2025
600  600  
7.00% debentures, due January 15, 2026
100  100  
3.85% notes, due December 15, 2026
550  550  
6.35% debentures, due February 1, 2028
26  26  
4.40% notes, due June 15, 2028
1,850  1,850  
2.90% notes, due December 15, 2029
400  400  
4.854% notes, due April 27, 2035
400  400  
6.15% notes, due December 15, 2040
300  300  
5.054% notes, due April 27, 2045
500  500  
Other55  49  
Total fixed-rate debt6,581  6,575  
Total debt6,831  6,825  
Plus: unamortized bond premium136  154  
Less: unamortized discounts and issuance costs(28) (28) 
Total debt, net6,939  6,951  
Less: current portion of long-term debt, net(666) (257) 
Total long-term debt, net$6,273  $6,694  
Schedule of Debt Exchange
Aggregate Principal Amount of L3 Notes (prior to debt exchange)Aggregate Principal Amount of New L3Harris Notes IssuedAggregate Principal Amount of Remaining L3 Notes
 (In millions)
4.95% notes due February 15, 2021 (“4.95% 2021 Notes”)
$650  $501  $149  
3.85% notes due June 15, 2023 (“3.85% 2023 Notes”)
800  741  59  
3.95% notes due May 28, 2024 (“3.95% 2024 Notes”)
350  326  24  
3.85% notes due December 15, 2026 (“3.85% 2026 Notes”)
550  535  15  
4.40% notes due June 15, 2028 (“4.40% 2028 Notes”)

1,000  918  82  
Total$3,350  $3,021  $329