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Debt (Tables)
3 Months Ended
Mar. 31, 2017
Debt [Abstract]  
Schedule of debt
Debt consists of the following:
 
March 31,
2017
 
December 31,
2016
(millions, except percentages)
Debt
 
Interest Rate
 
Debt
 
Interest Rate
Revolving Credit Facility, due August 27, 2020
$

 
%
 
$

 
%
Noble Midstream Services Revolving Credit Facility, due September 20, 2021

 
%
 

 
%
Term Loan Facility, due January 6, 2019
550

 
2.20
%
 
550

 
2.01
%
Leviathan Term Loan Facility, due February 23, 2025

 
%
 

 
%
8.25% Senior Notes, due March 1, 2019
1,000

 
8.25
%
 
1,000

 
8.25
%
5.625% Senior Notes, due May 1, 2021
379

 
5.625
%
 
379

 
5.625
%
4.15% Senior Notes, due December 15, 2021
1,000

 
4.15
%
 
1,000

 
4.15
%
5.875% Senior Notes, due June 1, 2022
18

 
5.875
%
 
18

 
5.875
%
7.25% Senior Notes, due October 15, 2023
100

 
7.25
%
 
100

 
7.25
%
5.875% Senior Notes, due June 1, 2024
8

 
5.875
%
 
8

 
5.875
%
3.90% Senior Notes, due November 15, 2024
650

 
3.90
%
 
650

 
3.90
%
8.00% Senior Notes, due April 1, 2027
250

 
8.00
%
 
250

 
8.00
%
6.00% Senior Notes, due March 1, 2041
850

 
6.00
%
 
850

 
6.00
%
5.25% Senior Notes, due November 15, 2043
1,000

 
5.25
%
 
1,000

 
5.25
%
5.05% Senior Notes, due November 15, 2044
850

 
5.05
%
 
850

 
5.05
%
7.25% Senior Debentures, due August 1, 2097
84

 
7.25
%
 
84

 
7.25
%
Capital Lease and Other Obligations
361

 
%
 
375

 
%
Total
7,100

 
 
 
7,114

 
 

Unamortized Discount
(22
)
 
 

 
(23
)
 
 

Unamortized Premium
15

 
 
 
17

 
 
Unamortized Debt Issuance Costs
(32
)
 
 
 
(34
)
 
 
Total Debt, Net of Unamortized Discount, Premium and Debt Issuance Costs
7,061

 
 

 
7,074

 
 

Less Amounts Due Within One Year
 

 
 

 
 

 
 

Capital Lease Obligations
(66
)
 
 

 
(63
)
 
 

Long-Term Debt Due After One Year
$
6,995

 
 

 
$
7,011