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Debt and Financing Activities (Tables)
3 Months Ended
Jun. 30, 2020
Debt Disclosure [Abstract]  
Schedule of Long-Term Debt
Long-term debt consisted of the following:
(In millions)June 30, 2020March 31, 2020
U.S. Dollar notes (1) (2)
3.65% Notes due November 30, 2020$700  $700  
4.75% Notes due March 1, 2021323  323  
2.70% Notes due December 15, 2022400  400  
2.85% Notes due March 15, 2023400  400  
3.80% Notes due March 15, 20241,100  1,100  
7.65% Debentures due March 1, 2027167  167  
3.95% Notes due February 16, 2028600  600  
4.75% Notes due May 30, 2029400  400  
6.00% Notes due March 1, 2041282  282  
4.88% Notes due March 15, 2044411  411  
Foreign currency notes (1) (3)
0.63% Euro Notes due August 17, 2021674  662  
1.50% Euro Notes due November 17, 2025671  659  
1.63% Euro Notes due October 30, 2026562  552  
3.13% Sterling Notes due February 17, 2029566  557  
Lease and other obligations192  174  
Total debt7,448  7,387  
Less: Current portion1,053  1,052  
Total long-term debt$6,395  $6,335  
(1)These notes are unsecured and unsubordinated obligations of the Company.
(2)Interest on these notes is payable semi-annually.
(3)Interest on these foreign currency notes is payable annually.