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Borrowings - Schedule of Long-Term Debt (Details) - USD ($)
1 Months Ended 9 Months Ended
Jan. 31, 2014
Jul. 31, 2016
Nov. 30, 2015
Oct. 31, 2015
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
May 31, 2011
Dec. 31, 2010
Mar. 31, 2008
Feb. 28, 2007
Long-term debt                      
Total long-term debt   $ 6,760,000,000   $ 6,677,000,000              
Fair value adjustment related to hedged debt   101,000,000   103,000,000              
Less: current portion of long-term debt   (41,000,000)   (2,160,000,000)              
U.S. Dollar Global Notes                      
Long-term debt                      
Total long-term debt   6,493,000,000   8,638,000,000              
Principal amount of debt redeemed and repaid     $ 2,100,000,000                
2006 Shelf Registration Statement- $500 issued at discount to par at a price of 99.694% in February 2007 at 5.4%, paid November 2015                      
Long-term debt                      
Total long-term debt   0   162,000,000              
Face amount of debt instrument                     $ 500,000,000
Discount to par (percent)                     99.694%
Interest rate (percent)                     5.40%
2006 Shelf Registration Statement- $750 issued at discount to par at a price of 99.932% in March 2008 at 5.5%, paid November 2015                      
Long-term debt                      
Total long-term debt   0   283,000,000              
Face amount of debt instrument                   $ 750,000,000  
Discount to par (percent)                   99.932%  
Interest rate (percent)                   5.50%  
2009 Shelf Registration Statement- $1,350 issued at discount to par at a price of 99.827% in December 2010 at 3.75%, due December 2020                      
Long-term debt                      
Total long-term debt   648,000,000   648,000,000              
Face amount of debt instrument                 $ 1,350,000,000    
Discount to par (percent)                 99.827%    
Interest rate (percent)                 3.75%    
2009 Shelf Registration Statement- $1,250 issued at discount to par at a price of 99.799% in May 2011 at 4.3%, due June 2021                      
Long-term debt                      
Total long-term debt   1,248,000,000   1,248,000,000              
Face amount of debt instrument               $ 1,250,000,000      
Discount to par (percent)               99.799%      
Interest rate (percent)               4.30%      
2009 Shelf Registration Statement- $1,000 issued at discount to par at a price of 99.816% in September 2011 at 4.375%, due September 2021                      
Long-term debt                      
Total long-term debt   999,000,000   999,000,000              
Face amount of debt instrument             $ 1,000,000,000        
Discount to par (percent)             99.816%        
Interest rate (percent)             4.375%        
2009 Shelf Registration Statement- $1,500 issued at discount to par at a price of 99.707% in December 2011 at 4.65%, due December 2021                      
Long-term debt                      
Total long-term debt   1,498,000,000   1,497,000,000              
Face amount of debt instrument           $ 1,500,000,000          
Discount to par (percent)           99.707%          
Interest rate (percent)           4.65%          
2009 Shelf Registration Statement- $500 issued at discount to par at a price of 99.771% in March 2012 at 4.05%, due September 2022                      
Long-term debt                      
Total long-term debt   499,000,000   499,000,000              
Face amount of debt instrument         $ 500,000,000            
Discount to par (percent)         99.771%            
Interest rate (percent)         4.05%            
2009 Shelf Registration Statement- $1,200 issued at discount to par at a price of 99.863% in September 2011 at 6.0%, due September 2041                      
Long-term debt                      
Total long-term debt   1,199,000,000   1,199,000,000              
Face amount of debt instrument             $ 1,200,000,000        
Discount to par (percent)             99.863%        
Interest rate (percent)             6.00%        
2009 Shelf Registration Statement- $650 issued at discount to par at a price of 99.911% in December 2010 at 2.2%, paid November 2015                      
Long-term debt                      
Total long-term debt   0   309,000,000              
Face amount of debt instrument                 $ 650,000,000    
Discount to par (percent)                 99.911%    
Interest rate (percent)                 2.20%    
2009 Shelf Registration Statement- $1,000 issued at discount to par at a price of 99.958% in May 2011 at 2.65%, paid November 2015                      
Long-term debt                      
Total long-term debt   0   346,000,000              
Face amount of debt instrument               $ 1,000,000,000      
Discount to par (percent)               99.958%      
Interest rate (percent)               2.65%      
2009 Shelf Registration Statement- $1,300 issued at discount to par at a price of 99.784% in September 2011 at 3.0%, paid November 2015                      
Long-term debt                      
Total long-term debt   0   390,000,000              
Face amount of debt instrument             $ 1,300,000,000        
Discount to par (percent)             99.784%        
Interest rate (percent)             3.00%        
2009 Shelf Registration Statement- $850 issued at discount to par at a price of 99.790% in December 2011 at 3.3%, paid November 2015                      
Long-term debt                      
Total long-term debt   0   220,000,000              
Face amount of debt instrument           $ 850,000,000          
Discount to par (percent)           99.79%          
Interest rate (percent)           3.30%          
2009 Shelf Registration Statement- $1,500 issued at discount to par at a price of 99.985% in March 2012 at 2.6%, paid November 2015                      
Long-term debt                      
Total long-term debt   0   436,000,000              
Face amount of debt instrument         $ 1,500,000,000            
Discount to par (percent)         99.985%            
Interest rate (percent)         2.60%            
2012 Shelf Registration Statement- $750 issued at par in January 2014 at three-month USD LIBOR plus 0.94%, due January 2019                      
Long-term debt                      
Total long-term debt   102,000,000   102,000,000              
Face amount of debt instrument $ 750,000,000                    
Spread on reference interest rate (percent) 0.94%                    
2012 Shelf Registration Statement- $1,250 issued at discount to par at a price of 99.954% in January 2014 at 2.75%, due January 2019                      
Long-term debt                      
Total long-term debt   300,000,000   300,000,000              
Face amount of debt instrument $ 1,250,000,000                    
Discount to par (percent) 99.954%                    
Interest rate (percent) 2.75%                    
Other, including capital lease obligations, at 0.51%-8.30%, due in calendar years 2016-2024                      
Long-term debt                      
Other, including capital lease obligations, at 0.51%-8.30%, due in calendar years 2016-2024   $ 207,000,000   $ 96,000,000              
Minimum interest rate (percent)   0.51%                  
Maximum interest rate (percent)   8.30%