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Debt - Additional Information (Detail) - USD ($)
12 Months Ended
Nov. 04, 2024
Dec. 31, 2024
Jul. 02, 2024
Dec. 31, 2023
Debt Instrument [Line Items]        
Debt instrument redemption price percentage   100.00%    
Outstanding letters of credit   $ 37,000,000    
Maximum consolidated debt reduction for unrestricted cash and temporary investments for debt covenant calculation   $ 500,000,000    
Senior Notes        
Debt Instrument [Line Items]        
Line of credit, trade receivable securitization facility     $ 400,000,000  
Interest rate on notes     4.25%  
Debt instrument redemption price percentage   101.00%    
Maximum | Including Acquisition Bridge Debt        
Debt Instrument [Line Items]        
Debt covenant   3.5    
Maximum | Excluding Acquisition Bridge Debt        
Debt Instrument [Line Items]        
Debt covenant   4    
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, 2029    
Outstanding letters of credit   $ 3,000,000   $ 3,000,000
Available for borrowing under revolving facility   797,000,000   797,000,000
Outstanding borrowing under credit facility   0   0
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   $ 495,000,000    
Interest rate on notes   3.50%    
Maturity year   2027    
2.500% Senior Notes, Due 2030        
Debt Instrument [Line Items]        
Interest rate on notes   2.50%    
Maturity year   2030    
2.400% Senior Notes, Due 2031        
Debt Instrument [Line Items]        
Debt instrument, face amount   $ 896,000,000    
Interest rate on notes   2.40%    
Maturity year   2031    
5.150% Senior Notes, Due 2034        
Debt Instrument [Line Items]        
Debt instrument, face amount $ 750,000,000 $ 750,000,000    
Interest rate on notes 5.15% 5.15%    
Maturity year 2034 2034    
5.150% Senior Notes, Due 2034 | Prior to September 1, 2034        
Debt Instrument [Line Items]        
Interest rate on notes 5.15%      
Maturity year 2034      
Debt instrument redemption price percentage 100.00%      
5.150% Senior Notes, Due 2034 | Prior to September 1, 2034 | Treasury Rate        
Debt Instrument [Line Items]        
Basis spread on variable rate 15.00%      
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   $ 598,000,000    
Interest rate on notes   4.25%    
Maturity year   2047    
3.200% Senior Notes, Due 2051        
Debt Instrument [Line Items]        
Debt instrument, face amount   $ 866,000,000    
Interest rate on notes   3.20%    
Maturity year   2051    
5.500% Senior Notes, Due 2054        
Debt Instrument [Line Items]        
Debt instrument, face amount $ 750,000,000 $ 750,000,000    
Interest rate on notes 5.50% 5.50%    
Maturity year 2054 2054    
5.500% Senior Notes, Due 2054 | Prior to June 1, 2054        
Debt Instrument [Line Items]        
Interest rate on notes 5.50%      
Maturity year 2054      
Debt instrument redemption price percentage 100.00%      
5.500% Senior Notes, Due 2054 | Prior to June 1, 2054 | Treasury Rate        
Debt Instrument [Line Items]        
Basis spread on variable rate 20.00%      
Trade Receivable Facility        
Debt Instrument [Line Items]        
Line of credit, trade receivable securitization facility   $ 400,000,000    
Debt instrument maturity period   Sep. 17, 2025    
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   0.80%