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Treasury - Additional Information (Detail) - USD ($)
9 Months Ended
Sep. 26, 2024
Sep. 30, 2024
Sep. 30, 2023
Dec. 31, 2023
Aug. 24, 2021
Sep. 21, 2020
Equity Class Of Treasury Stock [Line Items]            
Rate adjustment to one month Eurodollar rate on credit facility borrowings   1.00%        
Debt instrument carrying amount   $ 4,700,000,000   $ 4,900,000,000    
Unamortized financing costs   21,000,000        
Debt, due during the next 12 month   38,000,000        
Debt, due during months 13 to 24   738,000,000        
Debt, due during months 25 to 36   69,000,000        
Debt, due during months 37 to 48   70,000,000        
Debt, due during months 49 to 60   1,300,000,000        
Debt, due in greater than 60 months   2,400,000,000        
Fair value of debt   4,400,000,000   4,600,000,000    
Foreign Currency Forward Exchange Contracts            
Equity Class Of Treasury Stock [Line Items]            
Net cash outflows   (36,000,000) $ (8,000,000)      
Debt            
Equity Class Of Treasury Stock [Line Items]            
Financial liabilities   $ 75,000,000   $ 77,000,000    
ABR-based loans            
Equity Class Of Treasury Stock [Line Items]            
Rate adjustment to weighted average federal funds rate for credit facility borrowings   0.50%        
4.625% Senior Secured Notes due 2029            
Equity Class Of Treasury Stock [Line Items]            
Senior notes, issued $ 500,000,000          
Senior notes, interest rate 4.625%          
5.050% Senior Secured Notes due 2034            
Equity Class Of Treasury Stock [Line Items]            
Senior notes, issued $ 500,000,000          
Senior notes, interest rate 5.05%          
Revolving Credit Facility            
Equity Class Of Treasury Stock [Line Items]            
Line of credit facility, borrowing capacity   $ 1,200,000,000        
Line of credit facility, maturity date   Aug. 31, 2026        
Revolving Credit Facility | One Three Six Month SOFR Rate Plus Index Based Loans            
Equity Class Of Treasury Stock [Line Items]            
Rate adjustment to one month Eurodollar rate on credit facility borrowings   0.10%        
Revolving Credit Facility | Letter of Credit            
Equity Class Of Treasury Stock [Line Items]            
Line of credit facility, borrowing capacity   $ 125,000,000        
Amended Revolving Credit Facility            
Equity Class Of Treasury Stock [Line Items]            
Line of credit facility, borrowing capacity   $ 1,300,000,000        
Line of credit facility, maturity date Sep. 26, 2029 Sep. 26, 2029        
Line of credit facility amount outstanding   $ 3,000,000        
Line of credit facility, available borrowing capacity   1,010,000,000.00        
Amended Revolving Credit Facility | Letter of Credit            
Equity Class Of Treasury Stock [Line Items]            
Letters of credit, outstanding   288,000,000        
Amended Revolving Credit Facility | Maximum            
Equity Class Of Treasury Stock [Line Items]            
Line of credit facility, borrowing capacity   1,300,000,000        
Tranche A Term Loan            
Equity Class Of Treasury Stock [Line Items]            
Decrease in outstanding borrowings   1,000,000,000        
Line of credit facility amount outstanding   1,200,000,000        
Tranche A Term Loan | Quarterly Payment Beginning on December 31, 2026 Through June 30, 2029            
Equity Class Of Treasury Stock [Line Items]            
Scheduled principal payments per quarter   15,000,000        
Tranche A Term Loan | Quarterly Payment Beginning on December 31,204 Through September 30, 2026            
Equity Class Of Treasury Stock [Line Items]            
Scheduled principal payments per quarter   7,500,000        
Tranche A Term Loan | Payment on September 26, 2029            
Equity Class Of Treasury Stock [Line Items]            
Scheduled principal payments per quarter   975,000,000        
Tranche A Term Loan | Maximum            
Equity Class Of Treasury Stock [Line Items]            
Line of credit facility, available borrowing capacity $ 1,200,000,000          
New Senior Secured Notes            
Equity Class Of Treasury Stock [Line Items]            
Senior notes, issued   $ 3,000,000,000        
New Senior Secured Notes | 4.625% Senior Secured Notes due 2029            
Equity Class Of Treasury Stock [Line Items]            
Line of credit facility, maturity date   Oct. 15, 2029        
Senior notes, issued $ 500,000,000          
Senior notes, interest rate 4.625%          
New Senior Secured Notes | 5.050% Senior Secured Notes due 2034            
Equity Class Of Treasury Stock [Line Items]            
Line of credit facility, maturity date   Oct. 15, 2034        
Senior notes, issued $ 500,000,000          
Senior notes, interest rate 5.05%          
New Senior Secured Notes | 1.65% Senior Secured Notes due 2026            
Equity Class Of Treasury Stock [Line Items]            
Line of credit facility, maturity date   Sep. 01, 2026        
Senior notes, issued         $ 700,000,000  
Senior notes, interest rate         1.65%  
New Senior Secured Notes | 2.65% Senior Secured Notes due 2030            
Equity Class Of Treasury Stock [Line Items]            
Line of credit facility, maturity date   Oct. 15, 2030        
Senior notes, issued           $ 800,000,000
Senior notes, interest rate           2.65%
New Senior Secured Notes | 2.65% Senior Secured Notes due 2032            
Equity Class Of Treasury Stock [Line Items]            
Line of credit facility, maturity date   Jan. 15, 2032        
Senior notes, issued         $ 500,000,000  
Senior notes, interest rate         2.65%  
Term Loan A | ABR-based loans            
Equity Class Of Treasury Stock [Line Items]            
Current applicable margins   0.375%        
Term Loan A | One Month SOFR Rate Plus Index Based Loans            
Equity Class Of Treasury Stock [Line Items]            
Current applicable margins   1.375%        
Term Loan A | Minimum | One Month SOFR Rate Plus Index Based Loans            
Equity Class Of Treasury Stock [Line Items]            
Consolidated Leverage Ratio   0.25%        
Term Loan A | Minimum | One Three Six Month SOFR Rate Plus Index Based Loans            
Equity Class Of Treasury Stock [Line Items]            
Consolidated Leverage Ratio   1.25%        
Term Loan A | Maximum | One Month SOFR Rate Plus Index Based Loans            
Equity Class Of Treasury Stock [Line Items]            
Consolidated Leverage Ratio   0.625%        
Term Loan A | Maximum | One Three Six Month SOFR Rate Plus Index Based Loans            
Equity Class Of Treasury Stock [Line Items]            
Consolidated Leverage Ratio   1.625%