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Long-Term Debt - Additional Information (Detail) - USD ($)
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Jul. 17, 2023
Sep. 29, 2022
Debt Instrument [Line Items]        
Interest rate on notes     0.65% 0.65%
Debt instrument redemption price percentage 100.00%      
Outstanding letters of credit $ 32,200,000      
Maximum consolidated debt reduction for unrestricted cash and temporary investments for debt covenant calculation $ 500,000,000      
Including Acquisition Bridge Debt | Maximum        
Debt Instrument [Line Items]        
Debt covenant 3.5      
Excluding Acquisition Bridge Debt | Maximum        
Debt Instrument [Line Items]        
Debt covenant 4      
Senior Notes [Member]        
Debt Instrument [Line Items]        
Debt instrument redemption price percentage 101.00%      
Principal amount of stock repurchased during the period $ 0 $ 67,700,000    
Revolving Facility        
Debt Instrument [Line Items]        
Credit facility commitment $ 800,000,000      
Senior unsecured revolving facility, maturity period 5 years      
Debt instrument maturity period Dec. 21, 2028      
Outstanding letters of credit $ 2,600,000 2,600,000    
Available for borrowing under revolving facility 797,400,000 797,400,000    
Outstanding borrowing under credit facility $ 0 0    
0.650% Senior Notes, Due 2023        
Debt Instrument [Line Items]        
Debt instrument, face amount   $ 700,000,000    
Interest rate on notes 0.65% 0.65%    
Maturity year 2023 2023    
2.400% Senior Notes, Due 2031        
Debt Instrument [Line Items]        
Debt instrument, face amount $ 895,900,000      
Interest rate on notes 2.40%      
Maturity year 2031      
3.200% Senior Notes, Due 2051        
Debt Instrument [Line Items]        
Debt instrument, face amount $ 865,900,000      
Interest rate on notes 3.20%      
Maturity year 2051      
2.500% Senior Notes, Due 2030        
Debt Instrument [Line Items]        
Interest rate on notes 2.50%      
Maturity year 2030      
4.25% Senior Notes, Due 2024        
Debt Instrument [Line Items]        
Interest rate on notes 4.25%      
Maturity year 2024      
7% Debentures, Due 2025        
Debt Instrument [Line Items]        
Debt instrument, face amount $ 125,000,000      
Interest rate on notes 7.00%      
Maturity year 2025      
3.450% Senior Notes, Due 2027        
Debt Instrument [Line Items]        
Debt instrument, face amount $ 300,000,000      
Interest rate on notes 3.45%      
Maturity year 2027      
3.500% Senior Notes, Due 2027        
Debt Instrument [Line Items]        
Debt instrument, face amount $ 494,600,000      
Interest rate on notes 3.50%      
Maturity year 2027      
6.25% Senior Notes, Due 2037        
Debt Instrument [Line Items]        
Debt instrument, face amount $ 230,000,000      
Interest rate on notes 6.25%      
Maturity year 2037      
4.250% Senior Notes, Due 2047        
Debt Instrument [Line Items]        
Debt instrument, face amount $ 597,900,000      
Interest rate on notes 4.25%      
Maturity year 2047      
Trade Receivable Facility        
Debt Instrument [Line Items]        
Credit facility commitment $ 400,000,000      
Debt instrument maturity period Sep. 19, 2024      
Outstanding borrowing under credit facility $ 0 $ 0    
Trade Receivable Facility | Maximum        
Debt Instrument [Line Items]        
Credit facility commitment $ 500,000,000      
Trade Receivable Facility | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate [Member]        
Debt Instrument [Line Items]        
Basis spread on variable rate 0.70%