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Debt and Other Financing Arrangements (Tables)
6 Months Ended
Jun. 27, 2015
Debt And Other Financing Arrangements Disclosure [Abstract]  
Schedule of Debt [Table Text Block]
Effective
Interest Rate at
June 27,June 27,December 31,
(Dollars in millions)201520152014
Commercial Paper1.03%$1,125.0$
Term Loan1.65%925.01,275.0
4.40% 5-Year Senior Notes, Due 3/1/2015500.0
3.20% 5-Year Senior Notes, Due 5/1/2015450.0
5.00% 10-Year Senior Notes, Due 6/1/2015250.0
3.50% 5-Year Senior Notes, Due 1/15/20161.06%400.0400.0
3.20% 5-Year Senior Notes, Due 3/1/20163.21%900.0900.0
2.25% 5-Year Senior Notes, Due 8/15/20162.29%1,000.01,000.0
1.30% 3-Year Senior Notes, Due 2/1/20170.82%900.0900.0
1.85% 5-Year Senior Notes, Due 1/15/20181.85%500.0500.0
2.40% 5-Year Senior Notes, Due 2/1/20192.44%900.0900.0
6.00% 10-Year Senior Notes, Due 3/1/20202.98%750.0750.0
4.70% 10-Year Senior Notes, Due 5/1/20203.58%300.0300.0
5.00% 10-Year Senior Notes, Due 1/15/20213.25%400.0400.0
4.50% 10-Year Senior Notes, Due 3/1/20213.38%1,000.01,000.0
3.60% 10-Year Senior Notes, Due 8/15/20213.08%1,100.01,100.0
3.30% 7-Year Senior Notes, Due 2/15/20223.30%800.0800.0
3.15% 10-Year Senior Notes, Due 1/15/20233.21%800.0800.0
4.15% 10-Year Senior Notes, Due 2/1/20244.07%1,000.01,000.0
2.00% 10-Year Senior Notes, Due 4/15/2025 (euro-denominated)2.03%714.7774.3
5.30% 30-Year Senior Notes, Due 2/1/20445.30%400.0400.0
Other18.823.2
Total Borrowings at Par Value13,933.514,422.5
Fair Value Hedge Accounting Adjustments(32.9)(0.5)
Unamortized Premium, Net122.9142.0
Total Borrowings at Carrying Value14,023.514,564.0
Less: Short-term Obligations and Current Maturities3,359.82,212.4
Long-term Obligations$10,663.7$12,351.6