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Debt and Other Financing Arrangements (Details)
6 Months Ended
Jun. 29, 2024
USD ($)
Senior Notes  
Short-term Financing [Line Items]  
Redemption price 100.00%
Revolving Credit Facility  
Short-term Financing [Line Items]  
Borrowing capacity $ 5,000,000,000.00
Minimum consolidated interest coverage ratio 3.5
Borrowings outstanding $ 0
0.000% 4-Year Senior Notes, Due 11/18/2025 (euro-denominated) | Senior Notes  
Short-term Financing [Line Items]  
Interest rate 0.00%
0.80% 9-Year Senior Notes, Due 10/18/2030 (euro-denominated) | Senior Notes  
Short-term Financing [Line Items]  
Interest rate 0.80%
1.125% 12-Year Senior Notes, Due 10/18/2033 (euro-denominated) | Senior Notes  
Short-term Financing [Line Items]  
Interest rate 1.125%
1.625% 20-Year Senior Notes, Due 10/18/2041 (euro-denominated) | Senior Notes  
Short-term Financing [Line Items]  
Interest rate 1.625%
2.00% 30-Year Senior Notes, Due 10/18/2051 (euro-denominated) | Senior Notes  
Short-term Financing [Line Items]  
Interest rate 2.00%
Commercial Paper | U.S. Commercial Paper Program  
Short-term Financing [Line Items]  
Maximum maturity period 397 days
Commercial Paper | Euro Commercial Paper Program  
Short-term Financing [Line Items]  
Maximum maturity period 183 days