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Debt (Tables)
12 Months Ended
Dec. 31, 2025
Debt Disclosure [Abstract]  
Schedule of Long-term Debt
Our total debt consisted of the following (in millions):
20252024
Notes
4.95% due 2025
$ $500 
3.55% due 2026
1,000 1,000 
5.10% due 2027
750 750 
4.45% and 4.15% due 2028
1,000 500 
4.50% due 2029
650 650 
1.85% and 4.40% due 2030
1,150 400 
4.70% due 2031
600 600 
3.90% due 2032
800 800 
5.25% due 2033
1,000 1,000 
4.75% and 4.80% due 2034
1,450 1,450 
3.60% and 5.00% due 2035
1,250 500 
4.50% and 6.15% due 2036
1,054 1,054 
4.07% due 2042
1,336 1,336 
3.80% due 2045
1,000 1,000 
4.70% due 2046
1,326 1,326 
2.80% due 2050
750 750 
4.09% due 2052
1,579 1,578 
4.15% due 2053
850 850 
5.70% due 2054
1,000 1,000 
5.20% due 2055
1,050 1,050 
4.30% due 2062
650 650 
5.90% due 2063
750 750 
5.20% due 2064
750 750 
Other notes with rates from 4.85% to 8.50%, due 2026 to 2041
1,169 1,313 
Total debt22,914 21,557 
Less: unamortized discounts and issuance costs(1,214)(1,287)
Total debt, net21,700 20,270 
Less: current portion(1,168)(643)
Long-term debt, net$20,532 $19,627