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Borrowings (Tables)
6 Months Ended
Jun. 30, 2024
Debt Disclosure [Abstract]  
Long-Term Debt
Pre-Swap Borrowing
 BalanceBalance
(Dollars in millions)Maturities6/30/202412/31/2023
U.S. dollar debt (weighted-average interest rate at June 30, 2024): (1)
   
3.4%2024$$5,003 
5.1%20251,604 1,601 
3.7%20265,800 5,201 
3.3%20274,119 3,619 
5.0%20281,313 1,313 
3.6%20293,750 3,250 
2.0%20301,350 1,350 
4.8%2031500 — 
4.4%20321,850 1,850 
4.8%2033750 750 
4.9%20341,000 — 
8.0%203883 83 
4.5%20392,745 2,745 
2.9%2040650 650 
4.0%20421,107 1,107 
5.3%20441,000 — 
7.0%204527 27 
4.7%2046650 650 
4.3%20493,000 3,000 
3.0%2050750 750 
4.2%20521,400 1,400 
5.1%2053650 650 
5.3%20541,400 — 
7.1%2096316 316 
$35,817 $35,317 
Euro debt (weighted-average interest rate at June 30, 2024): (1)
1.1%2024$803 $829 
1.6%20253,213 3,315 
2.3%20272,142 2,210 
0.7%20281,928 1,989 
1.5%20291,071 1,105 
0.9%20301,071 1,105 
2.7%20312,678 2,762 
0.7%20321,714 1,768 
1.3%20341,071 1,105 
3.8%20351,071 1,105 
1.2%2040910 939 
4.0%20431,071 1,105 
$18,745 $19,335 
Other currencies (weighted-average interest rate at June 30, 2024 in parentheses): (1)
  
Pound sterling (4.9%)
2038$948 $955 
Japanese yen (0.5%)
2024–20281,097 1,251 
Other (12.9%)
2024–2027327 241 
$56,934 $57,099 
Finance lease obligations (5.0%)
2024–2034823 499 
$57,757 $57,598 
Less: net unamortized discount 844 838 
Less: net unamortized debt issuance costs 179 154 
Add: fair value adjustment (2)
 (204)(60)
$56,531 $56,546 
Less: current maturities 3,601 6,425 
Total $52,929 $50,121 
(1)Includes notes, debentures, bank loans and secured borrowings.
(2)The portion of the company’s fixed-rate debt obligations that is hedged is reflected in the Consolidated Balance Sheet as an amount equal to the sum of the debt’s carrying value and a fair value adjustment representing changes in the fair value of the hedged debt obligations attributable to movements in benchmark interest rates.
Pre-swap annual contractual obligations of long-term debt outstanding
Pre-swap annual contractual obligations of long-term debt outstanding at June 30, 2024, were as follows:
(Dollars in millions)Total
Remainder of 2024$1,291 
20255,142 
20266,272 
20276,397 
20283,887 
Thereafter34,767 
Total$57,757 
Interest on Debt
(Dollars in millions)  
For the six months ended June 30:20242023
Cost of financing$167 $173 
Interest expense859 790 
Interest capitalized
Total interest paid and accrued$1,032 $969