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LONG-TERM DEBT (Tables)
12 Months Ended
Dec. 31, 2015
Debt Instrument [Line Items]  
Long-Term Debt by Types and Interest Rates (Includes Current Portion)
Long-Term Debt by Types and Interest Rates (Includes Current Portion)
DOLLAR AMOUNTS IN MILLIONS
  
DECEMBER 31,
2015

DECEMBER 31,
2014

6.95% debentures due 2017
$
281

$
281

7.00% debentures due 2018
62

62

7.375% notes due 2019
500

500

Variable rate term loan credit facility matures 2020
550

550

9.00% debentures due 2021
150

150

7.125% debentures due 2023
191

191

4.625% notes due 2023
500

500

8.50% debentures due 2025
300

300

7.95% debentures due 2025
136

136

7.70% debentures due 2026
150

150

7.35% debentures due 2026
62

62

7.85% debentures due 2026
100

100

6.95% debentures due 2027
300

300

7.375% debentures due 2032
1,250

1,250

6.875% debentures due 2033
275

275

Industrial revenue bonds, rates from 6.7% to 6.8%, due 2022
88

88

Other
1

1

 
4,896

4,896

Less unamortized discounts
(5
)
(5
)
Total
$
4,891

$
4,891

Portion due within one year
$

$

Amounts of Long-Term Debt Due Annually for the Next Five Years and the Total Amount Due After 2020
Amounts of Long-Term Debt Due Annually for the Next Five Years and the Total Amount Due After 2020
DOLLAR AMOUNTS IN MILLIONS
  
DECEMBER 31, 2015

Long-term debt maturities:
 

2016
$

2017
$
281

2018
$
62

2019
$
500

2020
$
550

Thereafter
$
3,503