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Notes Payable (Tables) - Note payable
12 Months Ended
Dec. 31, 2016
Debt instrument  
Schedule of Notes payable

Our senior unsecured notes and bonds consist of the following, sorted by maturity date (dollars in millions):

 

 

 

December 31,

 

December 31,

 

 

 

2016

 

2015

 

5.950% notes, issued in September 2006 and due in September 2016

 

$

-

 

$

275

 

5.375% notes, issued in September 2005 and due in September 2017

 

175

 

175

 

2.000% notes, issued in October 2012 and due in January 2018

 

350

 

350

 

6.750% notes, issued in September 2007 and due in August 2019

 

550

 

550

 

5.750% notes, issued in June 2010 and due in January 2021

 

250

 

250

 

3.250% notes, issued in October 2012 and due in October 2022

 

450

 

450

 

4.650% notes, issued in July 2013 and due in August 2023

 

750

 

750

 

3.875% notes, issued in June 2014 and due in July 2024

 

350

 

350

 

4.125% notes, issued in September 2014 and due in October 2026

 

250

 

250

 

3.000% notes, issued in October 2016 and due in January 2027

 

600

 

-

 

5.875% bonds, $100 issued in March 2005 and $150 issued in June 2011, both due in March 2035

 

250

 

250

 

Total principal amount

 

3,975

 

3,650

 

Unamortized original issuance discounts and deferred financing costs

 

(41

)

(32

)

 

 

$

3,934

 

$

3,618

 

Summary of maturity of notes and bonds payable excluding unamortized original issuance discounts

The following table summarizes the maturity of our notes and bonds payable as of December 31, 2016, excluding unamortized original issuance discounts and deferred financing costs (dollars in millions):

 

Year of Maturity

 

Principal

2017

 

$

175

2018

 

350

2019

 

550

2020

 

-

2021

 

250

Thereafter

 

2,650

Totals

 

$

3,975