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Debt Obligations and Commitments (Tables)
6 Months Ended
Jun. 13, 2020
Debt Obligations and Commitments [Abstract]  
Schedule of Debt Issuances [Table Text Block]
In the 24 weeks ended June 13, 2020, we issued the following senior notes:
Interest Rate

 
Maturity Date
 
Amount(a)

2.250
%
 
March 2025
 
$
1,500

2.625
%
 
March 2027
 
$
500

2.750
%
 
March 2030
 
$
1,500

3.500
%
 
March 2040
 
$
750

3.625
%
 
March 2050
 
$
1,500

3.875
%
 
March 2060
 
$
750

0.750
%
 
May 2023
 
$
1,000

1.625
%
 
May 2030
 
$
1,000

0.250
%
 
May 2024
 
1,000

0.500
%
 
May 2028
 
1,000

(a)
Represents gross proceeds from issuances of long-term debt excluding debt issuance costs, discounts and premiums.