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BORROWINGS (Tables)
12 Months Ended
Dec. 31, 2023
Debt Disclosure [Abstract]  
Schedule of Borrowings
December 3120232022
AmountAverage RateAmountAverage Rate
Current portion of long-term borrowings
   Senior notes1,044 2.42 %$3,525 1.30 %
   Subordinated notes and other107 6.73 100 6.71 %
Other short- term borrowings103 115 
Total short-term borrowings$1,253 $3,739 
MaturitiesAmountAverage RateAmountAverage Rate
Senior notes2025-2055$17,509 3.99 %$18,079 3.96 %
Subordinated notes2035-20371,383 4.43 1,340 4.72 %
Other819 901 
Total long-term borrowings$19,711 $20,320 
Total borrowings$20,965 $24,059 
Schedule of Maturities of Long-term Debt
Long-term debt maturities over the next five years as follows.

20242025202620272028ThereafterTotal
Long term debt maturities$1,151(a)$1,827$1,334$1,580$478$14,493$20,862
(a)Fixed and floating rate notes of $343 million contain put options with exercise dates in 2024, which have final maturity beyond 2035