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Long-term Debt - Summary of Debt Instrument Redemption (Details)
12 Months Ended
Dec. 31, 2025
Aug. 20, 2025
Sep. 28, 2021
Feb. 28, 2020
Nov. 16, 2017
Borrowings          
Percentage of principal amount at which the entity may redeem some or all of the notes after specified date 100.00%        
5.55% Notes due 2040          
Borrowings          
Interest rate (as a percent) 5.55% 5.55%      
Long-term debt redemption price, basis spread on variable discount rate (as a percent) 25.00%        
5.25% Notes due 2035          
Borrowings          
Interest rate (as a percent) 5.25% 5.25%      
Long-term debt redemption price, basis spread on variable discount rate (as a percent) 20.00%        
2.20% Notes due 2032          
Borrowings          
Interest rate (as a percent) 2.20%   2.20%    
Long-term debt redemption price, basis spread on variable discount rate (as a percent) 20.00%        
2.75% Notes due 2030          
Borrowings          
Interest rate (as a percent) 2.75%     2.75%  
Long-term debt redemption price, basis spread on variable discount rate (as a percent) 20.00%        
3.75% Notes due 2027          
Borrowings          
Interest rate (as a percent) 3.75%       3.75%
Long-term debt redemption price, basis spread on variable discount rate (as a percent) 25.00%