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Long-Term Debt and Short-Term Borrowings - Long-Term Debt Issuances (Details) - USD ($)
$ in Millions
1 Months Ended 12 Months Ended
Mar. 31, 2020
Nov. 30, 2019
Aug. 31, 2019
Feb. 28, 2019
Sep. 30, 2018
Dec. 31, 2020
Dec. 31, 2019
Oct. 31, 2019
Debt instrument                
Long-term debt           $ 18,783 $ 19,359  
Aggregate fixed rate registered notes                
Debt instrument                
Principal amount $ 1,750              
Fixed rate registered note due 2025                
Debt instrument                
Principal amount $ 500   $ 750     $ 750    
Term of debt instrument 5 years   5 years 6 months          
Interest rate - effective 2.65%   2.00%     2.12%    
Long-term debt           $ 744 743  
Fixed rate registered note due 2030                
Debt instrument                
Principal amount $ 600         $ 600    
Term of debt instrument 10 years              
Interest rate - effective 3.05%         3.09%    
Long-term debt           $ 595    
Fixed rate registered note due 2050                
Debt instrument                
Principal amount $ 650         $ 650    
Term of debt instrument 30 years              
Interest rate - effective 3.70%         3.72%    
Long-term debt           $ 642    
The five-year credit facility and the 364-day credit facilities.                
Debt instrument                
Principal amount           $ 3,000    
Term of debt instrument   5 years       5 years    
Aggregate fixed rate medium-term notes                
Debt instrument                
Principal amount       $ 2,250 $ 2,250      
Fixed rate registered notes which are due in 2023, 2025, 2029 and 2049                
Debt instrument                
Principal amount     $ 3,250          
Fixed rate registered note due 2023                
Debt instrument                
Principal amount     $ 500     $ 500    
Term of debt instrument     3 years 6 months          
Interest rate - effective     1.75%     1.86%    
Long-term debt           $ 498 497  
Fixed rate registered note due 2029                
Debt instrument                
Principal amount     $ 1,000     $ 1,000    
Term of debt instrument     10 years          
Interest rate - effective     2.375%     2.50%    
Long-term debt           $ 986 984  
Fixed rate registered note due 2049                
Debt instrument                
Principal amount     $ 1,000     $ 1,000    
Term of debt instrument     30 years          
Interest rate - effective     3.25%     3.37%    
Long-term debt           $ 969 968  
Fixed rate medium term note due 2021                
Debt instrument                
Principal amount         $ 400      
Term of debt instrument         3 years      
Interest rate - effective         3.00%      
Fixed rate medium term note due 2021 | Interest rate contracts                
Debt instrument                
Term of debt instrument         3 years      
Variable rate         three-month LIBOR      
Fixed rate medium term note due 2022                
Debt instrument                
Principal amount       $ 450   $ 600    
Term of debt instrument       3 years        
Interest rate - effective       2.75%   2.17%    
Long-term debt           $ 598 597  
Fixed rate medium term notes due 2023                
Debt instrument                
Principal amount           $ 650    
Interest rate - effective           2.26%    
Long-term debt           $ 649 648  
Fixed rate medium term notes due 2024                
Debt instrument                
Principal amount         $ 300 $ 300    
Term of debt instrument         5 years 6 months      
Interest rate - effective         3.25% 3.30%    
Long-term debt           $ 299 299  
Fixed rate medium term notes due 2024                
Debt instrument                
Principal amount       $ 500   $ 500    
Term of debt instrument       5 years        
Interest rate - effective       3.25%   2.98%    
Long-term debt           $ 502 503  
Fixed rate medium term note due 2025                
Debt instrument                
Principal amount           $ 550    
Interest rate - effective           3.04%    
Long-term debt           $ 548 547  
Fixed rate medium term note due 2047                
Debt instrument                
Principal amount           $ 500    
Interest rate - effective           3.68%    
Long-term debt           $ 492 492  
Floating rate medium term notes due 2024                
Debt instrument                
Principal amount         $ 300 $ 300    
Term of debt instrument         5 years 6 months      
Interest rate - effective           0.52%    
Long-term debt           $ 299 299  
Variable rate         three-month LIBOR      
Fixed rate medium term notes due 2027                
Debt instrument                
Principal amount           $ 850    
Interest rate - effective           2.95%    
Long-term debt           $ 843 842  
Fixed rate medium term notes due 2028                
Debt instrument                
Principal amount         $ 600 $ 600    
Term of debt instrument         10 years      
Interest rate - effective         3.625% 3.62%    
Long-term debt           $ 598 597  
Fixed rate medium term notes due 2029                
Debt instrument                
Principal amount       $ 800   $ 800    
Term of debt instrument       10 years        
Interest rate - effective       3.375%   3.38%    
Long-term debt           $ 796 796  
Fixed rate medium term note due 2048                
Debt instrument                
Principal amount         $ 650 $ 650    
Term of debt instrument         30 years      
Interest rate - effective         4.00% 4.07%    
Long-term debt           $ 637 637  
Fixed rate medium term note due 2048                
Debt instrument                
Principal amount       $ 500   $ 500    
Term of debt instrument       29 years 6 months        
Interest rate - effective       4.00%   3.78%    
Long-term debt           $ 505 506  
Third lien senior secured notes (Third Lien Notes) maturing 2021 | Acelity Inc. and its KCI subsidiaries                
Debt instrument                
Principal amount               $ 445
Interest rate - effective               12.50%
Floating rate Euro medium term note (repaid in 2020)                
Debt instrument                
Long-term debt             $ 726