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Borrowings (Pre-Swap Borrowing) (Details 2) - USD ($)
$ in Millions
6 Months Ended
Jun. 30, 2015
Dec. 31, 2014
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 37,393 $ 39,737
Less: net unamortized discount 845 853
Add: fair value adjustment 717 792
Long-Term Debt, including current portion 37,265 39,675
Less: current maturities 3,926 4,601
Total long-term debt (excluding current portion) 33,339 35,073
U.S. dollar notes and debentures    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment 29,981 31,404
1.28% Notes and Debentures, maturing in 2015-2016    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 5,927 9,254
Debt instrument, stated interest rate percentage (as a percent) 1.28%  
Debt instrument, maturity year range, start 2015  
Debt instrument, maturity year range, end 2016  
3.91% Notes and Debentures, maturing in 2017-2018    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 8,712 6,835
Debt instrument, stated interest rate percentage (as a percent) 3.91%  
Debt instrument, maturity year range, start 2017  
Debt instrument, maturity year range, end 2018  
2.21% Notes and Debentures, maturing in 2019-2021    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 6,582 6,555
Debt instrument, stated interest rate percentage (as a percent) 2.21%  
Debt instrument, maturity year range, start 2019  
Debt instrument, maturity year range, end 2021  
1.88% Notes and Debentures, maturing in 2022    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 1,000 1,000
Debt instrument, stated interest rate percentage (as a percent) 1.88%  
Debt instrument, maturity year 2022  
3.38% Notes and Debentures, maturing in 2023    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 1,500 1,500
Debt instrument, stated interest rate percentage (as a percent) 3.38%  
Debt instrument, maturity year 2023  
3.63% Notes and Debentures, maturing in 2024    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 2,000 2,000
Debt instrument, stated interest rate percentage (as a percent) 3.63%  
Debt instrument, maturity year 2024  
7.00% Notes and Debentures, maturing in 2025    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 600 600
Debt instrument, stated interest rate percentage (as a percent) 7.00%  
Debt instrument, maturity year 2025  
6.22% Notes and Debentures, maturing in 2027    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 469 469
Debt instrument, stated interest rate percentage (as a percent) 6.22%  
Debt instrument, maturity year 2027  
6.50% Notes and Debentures, maturing in 2028    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 313 313
Debt instrument, stated interest rate percentage (as a percent) 6.50%  
Debt instrument, maturity year 2028  
5.88% Notes and Debentures, maturing in 2032    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 600 600
Debt instrument, stated interest rate percentage (as a percent) 5.88%  
Debt instrument, maturity year 2032  
8.00% Notes and Debentures, maturing in 2038    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 83 83
Debt instrument, stated interest rate percentage (as a percent) 8.00%  
Debt instrument, maturity year 2038  
5.60% Notes and Debentures, maturing in 2039    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 745 745
Debt instrument, stated interest rate percentage (as a percent) 5.60%  
Debt instrument, maturity year 2039  
4.00% Notes and Debentures, maturing in 2042    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 1,107 1,107
Debt instrument, stated interest rate percentage (as a percent) 4.00%  
Debt instrument, maturity year 2042  
7.00% Notes and Debentures, maturing in 2045    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 27 27
Debt instrument, stated interest rate percentage (as a percent) 7.00%  
Debt instrument, maturity year 2045  
7.13% Notes and Debentures, maturing in 2096    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 316 316
Debt instrument, stated interest rate percentage (as a percent) 7.13%  
Debt instrument, maturity year 2096  
1.9% Euros maturing in 2015 - 2025    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 5,019 5,463
Debt instrument, stated interest rate percentage (as a percent) 1.90%  
Debt instrument, maturity year range, start 2015  
Debt instrument, maturity year range, end 2025  
2.8% Pound sterling maturing in 2017 - 2020    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 1,188 1,176
Debt instrument, stated interest rate percentage (as a percent) 2.80%  
Debt instrument, maturity year range, start 2017  
Debt instrument, maturity year range, end 2020  
0.5% Japanese yen maturing in 2017-2019    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 718 733
Debt instrument, stated interest rate percentage (as a percent) 0.50%  
Debt instrument, maturity year range, start 2017  
Debt instrument, maturity year range, end 2019  
6.3% Swiss francs maturing in 2020    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 11 162
Debt instrument, stated interest rate percentage (as a percent) 6.30%  
Debt instrument, maturity year 2020  
2.2% Canadian Maturing 2017    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 401 432
Debt instrument, stated interest rate percentage (as a percent) 2.20%  
Debt instrument, maturity year 2017  
4.4% Other maturing in 2015-2018    
Debt Disclosure    
Aggregate carrying amount of long-term borrowings before adjusting for unamortized discount and fair value adjustment $ 75 $ 367
Debt instrument, stated interest rate percentage (as a percent) 4.40%  
Debt instrument, maturity year range, start 2015  
Debt instrument, maturity year range, end 2018