XML 41 R27.htm IDEA: XBRL DOCUMENT v3.24.1.u1
LONG-TERM DEBT (Tables)
3 Months Ended
Mar. 31, 2024
Debt Disclosure [Abstract]  
Schedule of Long-term Debt
As of March 31, 2024 and December 31, 2023, Occidental’s debt consisted of the following:

millionsMarch 31, 2024December 31, 2023
2.900% senior notes due 2024
$654 $654 
6.950% senior notes due 2024
291 291 
3.450% senior notes due 2024
111 111 
5.875% senior notes due 2025
606 606 
3.500% senior notes due 2025
137 137 
5.500% senior notes due 2025
465 465 
5.550% senior notes due 2026
870 870 
3.200% senior notes due 2026
182 182 
3.400% senior notes due 2026
284 284 
7.500% debentures due 2026
112 112 
8.500% senior notes due 2027
489 489 
3.000% senior notes due 2027
216 216 
7.125% debentures due 2027
150 150 
7.000% debentures due 2027
48 48 
6.625% debentures due 2028
14 14 
7.150% debentures due 2028
232 232 
7.200% senior debentures due 2028
82 82 
6.375% senior notes due 2028
578 578 
7.200% debentures due 2029
135 135 
7.950% debentures due 2029
116 116 
8.450% senior notes due 2029
116 116 
3.500% senior notes due 2029
286 286 
Variable rate bonds due 2030 (5.690% and 5.750% as of March 31, 2024 and December 31, 2023, respectively)
68 68 
8.875% senior notes due 2030
1,000 1,000 
6.625% senior notes due 2030
1,449 1,449 
6.125% senior notes due 2031
1,143 1,143 
7.500% senior notes due 2031
900 900 
7.875% senior notes due 2031
500 500 
6.450% senior notes due 2036
1,727 1,727 
Zero Coupon senior notes due 2036673 673 
0.000% loan due 2039
19 19 
4.300% senior notes due 2039
247 247 
7.950% senior notes due 2039
325 325 
6.200% senior notes due 2040
737 737 
4.500% senior notes due 2044
191 191 
4.625% senior notes due 2045
296 296 
6.600% senior notes due 2046
1,117 1,117 
4.400% senior notes due 2046
424 424 
4.100% senior notes due 2047
258 258 
(continued on next page)
millions (continued)20242023
4.200% senior notes due 2048
304 304 
4.400% senior notes due 2049
280 280 
7.730% debentures due 2096
58 58 
7.500% debentures due 2096
60 60 
7.250% debentures due 2096
5 
Total borrowings at face value$17,955 $17,955 

The following table summarizes Occidental's outstanding debt, including finance lease liabilities:

millionsMarch 31, 2024December 31, 2023
Total borrowings at face value$17,955 $17,955 
Adjustments to book value:
Unamortized premium, net1,125 1,152 
Debt issuance costs(66)(106)
Net book value of debt$19,014 $19,001 
Long-term finance leases, included in Long-term debt588 591 
Current finance leases, included in Current maturities of long-term debt146 146 
Total debt and finance leases$19,748 $19,738 
Less: current maturities of financing leases(146)(146)
Less: current maturities of long-term debt(1,057)(1,056)
Long-term debt, net$18,545 $18,536