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SHORT-TERM AND LONG-TERM DEBT (Tables)
12 Months Ended
Jun. 30, 2025
Debt Disclosure [Abstract]  
Schedule of Short-term Debt
As of June 3020252024
DEBT DUE WITHIN ONE YEAR
Current portion of long-term debt$5,377$3,838
Commercial paper4,1083,327
Other2726
TOTAL$9,513$7,191
Weighted average interest rate of debt due within one year (1)
3.0 %3.7 %
(1)Weighted average interest rate of debt due within one year includes the effects of interest rate swaps discussed in Note 9.
Schedule of Long-term Debt Instruments
As of June 3020252024
LONG-TERM DEBT
0.50% EUR note due October 2024
$$534
0.63% EUR note due October 2024
855
0.55% USD note due October 2025
1,0001,000
4.10% USD note due January 2026
650650
2.70% USD note due February 2026
600600
1.00% USD note due April 2026
1,0001,000
3.25% EUR note due August 2026
762695
2.45% USD note due November 2026
875875
1.90% USD note due February 2027
1,0001,000
2.80% USD note due March 2027
500500
4.88% EUR note due May 2027
1,1721,069
2.85% USD note due August 2027
750750
3.95% USD note due January 2028
600600
3.15% EUR note due April 2028
762695
1.20% EUR note due October 2028
937855
4.35% USD note due January 2029
600600
1.80% GBP note due May 2029
514474
4.15% USD note due October 2029
500
1.25% EUR note due October 2029
586534
3.00% USD note due March 2030
1,5001,500
4.05% USD note due May 2030
700
0.35% EUR note due May 2030
586534
1.20% USD note due October 2030
1,2501,250
1.95% USD note due April 2031
1,0001,000
3.25% EUR note due August 2031
762695
2.30% USD note due February 2032
850850
4.05% USD note due January 2033
850850
4.55% USD note due January 2034
750750
3.20% EUR note due April 2034
996909
4.55% USD note due October 2034
500
4.60% USD note due May 2035
550
5.55% USD note due March 2037
716716
1.88% EUR note due October 2038
586534
3.55% USD note due March 2040
516516
0.90% EUR note due November 2041
703641
All other long-term debt4,7495,076
Current portion of long-term debt(5,377)(3,838)
TOTAL$24,995$25,269
Weighted average interest rate of long-term debt (1)
3.3%3.2%
(1)Weighted average interest rate of long-term debt includes the effects of interest rate swaps discussed in Note 9.
Maturities of Long-term Debt
Long-term debt maturities during the next five fiscal years are as follows:
Fiscal years ending June 3020262027202820292030
Debt maturities$5,377$4,606$2,142$2,027$3,996