Quarterly report pursuant to Section 13 or 15(d)

DEBT AND FINANCING ARRANGEMENTS (Tables)

v3.20.1
DEBT AND FINANCING ARRANGEMENTS (Tables)
3 Months Ended
Mar. 31, 2020
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments
The carrying value of our outstanding debt as of March 31, 2020 and December 31, 2019 consists of the following (in millions):
Principal
Amount
Carrying Value
Maturity 2020 2019
Commercial paper $ 3,256    2020 $ 3,245    $ 3,234   
Fixed-rate senior notes:
3.125% senior notes
1,500    2021 1,530    1,524   
2.050% senior notes
700    2021 699    699   
2.450% senior notes
1,000    2022 1,033    1,003   
2.350% senior notes
600    2022 598    598   
2.500% senior notes
1,000    2023 996    995   
2.800% senior notes
500    2024 497    497   
2.200% senior notes
400    2024 398    398   
3.900% senior notes
1,000    2025 994    —   
2.400% senior notes
500    2026 498    498   
3.050% senior notes
1,000    2027 992    992   
3.400% senior notes
750    2029 745    745   
2.500% senior notes
400    2029 397    397   
4.450% senior notes
750    2030 743    —   
6.200% senior notes
1,500    2038 1,483    1,483   
5.200% senior notes
500    2040 493    —   
4.875% senior notes
500    2040 490    490   
3.625% senior notes
375    2042 368    368   
3.400% senior notes
500    2046 491    491   
3.750% senior notes
1,150    2047 1,137    1,136   
4.250% senior notes
750    2049 742    742   
3.400% senior notes
700    2049 688    688   
5.300% senior notes
1,250    2050 1,230    —   
Floating-rate senior notes:
Floating-rate senior notes 350    2021 349    349   
Floating-rate senior notes 400    2022 399    399   
Floating-rate senior notes 500    2023 499    499   
Floating-rate senior notes 1,041    2049-2067 1,028    1,028   
8.375% Debentures:
8.375% debentures
424    2020 424    426   
8.375% debentures
276    2030 281    281   
Pound Sterling notes:
5.500% notes
82    2031 81    86   
5.125% notes
562    2050 533    566   
Euro senior notes:
0.375% notes
767    2023 764    779   
1.625% notes
767    2025 764    779   
1.000% notes
548    2028 545    556   
1.500% notes
548    2032 545    556   
Floating-rate senior notes 548    2020 548    559   
Canadian senior notes:
2.125% notes
529    2024 527    571   
Finance lease obligations 500    2020-2210 500    498   
Facility notes and bonds 320    2029-2045 320    320   
Other debt   2020-2025    
Total debt $ 28,750    28,601    25,238   
Less: Current maturities (4,405)   (3,420)  
Long-term debt $ 24,196    $ 21,818