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LT Debt (Tables)
6 Months Ended
Jul. 02, 2022
Schedule of Long-term Debt Instruments [Abstract]  
Schedule of Long-term Debt Instruments [Table Text Block]
Long-term debt consists of the following:
 July 2,
2022
December 31,
2021
North American asset securitization program$910,000 $— 
4.50% notes, due 2023
— 299,283 
3.25% notes, due 2024
497,586 497,060 
4.00% notes, due 2025
347,997 347,657 
7.50% senior debentures, due 2027
110,062 110,021 
3.875% notes, due 2028
496,132 495,823 
2.95% notes, due 2032
494,269 494,022 
Other obligations with various interest rates and due dates444 577 
 $2,856,490 $2,244,443 
Schedule of Fair Value of Debt [Text Block]
The estimated fair market value of long-term debt, using quoted market prices, is as follows:
 July 2,
2022
December 31,
2021
4.50% notes, due 2023
$— $309,000 
3.25% notes, due 2024
490,500 522,000 
4.00% notes, due 2025
348,000 374,000 
7.50% senior debentures, due 2027
124,000 136,000 
3.875% notes, due 2028
480,500 542,500 
2.95% notes, due 2032
422,000 504,500