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NOTES PAYABLE, LONG-TERM DEBT AND AVAILABLE CREDIT FACILITIES (Tables)
12 Months Ended
Dec. 31, 2013
Line of Credit Facility [Line Items]  
Schedule of Line of Credit Facilities [Table Text Block]
Committed and Available Credit Facilities at December 31, 2013
In millions
 
Effective Date
 
Committed Credit

 
Credit Available

 
Maturity Date
 
Interest
Five Year Competitive Advance and Revolving Credit Facility
 
October 2011
 
$
5,000

 
$
5,000

 
October 2016
 
Floating rate
Bilateral Revolving Credit Facility
 
October 2012
 
170

 
170

 
October 2016
 
Floating rate
Bilateral Revolving Credit Facility
 
March 2013
 
100

 
100

 
March 2014
 
Floating rate
Bilateral Revolving Credit Facility
 
March 2013
 
300

 
300

 
October 2016
 
Floating rate
Term Loan Facility
 
March 2013
 
300

 

 
March 2016
 
Floating rate
Bilateral Revolving Credit Facility
 
April 2013
 
200

 
200

 
April 2016
 
Floating rate
Bilateral Revolving Credit Facility
 
October 2013
 
200

 
200

 
October 2016
 
Floating rate
Bilateral Revolving Credit Facility
 
October 2013
 
100

 
100

 
October 2016
 
Floating rate
Total Committed and Available Credit Facilities
 
 
 
$
6,370

 
$
6,070

 
 
 
 
Schedule of Short-term Debt [Table Text Block]
Notes Payable at December 31
In millions
2013

 
2012

Notes payable to banks
$
300

 
$
319

Notes payable to related companies
137

 
66

Notes payable trade
6

 
11

Total notes payable
$
443

 
$
396

Year-end average interest rates
3.23
%
 
3.14
%
Schedule of Long-term Debt Instruments [Table Text Block]
Long-Term Debt at December 31

In millions
2013
Average
Rate

 
2013

 
2012
Average
Rate

 
2012

Promissory notes and debentures:
 
 
 
 
 
 
 
Final maturity 2013

 
$

 
6.01
%
 
$
404

Final maturity 2014
5.33
%
 
399

 
6.86
%
 
1,138

Final maturity 2015
2.89
%
 
56

 
5.82
%
 
1,290

Final maturity 2016
2.53
%
 
805

 
2.54
%
 
789

Final maturity 2017
5.65
%
 
491

 
5.88
%
 
890

Final maturity 2018
5.43
%
 
570

 
5.59
%
 
840

Final maturity 2019 and thereafter
5.94
%
 
12,200

 
5.96
%
 
12,148

Other facilities:
 
 
 
 
 
 
 
U.S. dollar loans, various rates and maturities
1.44
%
 
490

 
2.30
%
 
288

Foreign currency loans, various rates and maturities
3.18
%
 
1,140

 
3.50
%
 
1,336

Medium-term notes, varying maturities through 2023
3.76
%
 
1,143

 
4.26
%
 
1,132

Pollution control/industrial revenue bonds, varying maturities through 2038
5.59
%
 
518

 
5.67
%
 
718

Capital lease obligations

 
41

 

 
21

Unamortized debt discount

 
(336
)
 

 
(403
)
Long-term debt due within one year

 
(697
)
 

 
(672
)
Long-term debt

 
$
16,820

 

 
$
19,919

Schedule of Maturities of Long-term Debt [Table Text Block]
Annual Installments on Long-Term Debt
for Next Five Years
In millions
2014
$
697

2015
$
407

2016
$
1,366

2017
$
775

2018
$
930