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Debt (Tables)
9 Months Ended
Jun. 30, 2015
Debt Disclosure [Abstract]  
Schedule of Senior Unsecured Note Issued

Details regarding this debt issuance were as follows:

 

Interest Rate and Maturity

   Aggregate
Principal

Amount
(Millions of dollars)
 

Floating Rate Notes due June 15, 2016

   $ 750   

1.800% Notes due December 15, 2017

     1,250   

2.675% Notes due December 15, 2019

     1,250   

3.734% Notes due December 15, 2024

     1,750   

4.685% Notes due December 15, 2044

     1,200   
  

 

 

 

Total long-term debt issued in connection with CareFusion acquisition

$ 6,200   
  

 

 

 

 

Interest Rate and Maturity

   Aggregate
Principal Amount
(Millions of dollars)
     Percentage of
Total

Outstanding
Principal

Amount of such
Series of
Existing Notes
 

1.450% senior notes due May 15, 2017

   $ 293         97.64

6.375% senior notes due August 1, 2019

     665         95.00

3.300% senior notes due March 1, 2023

     294         97.95

3.875% senior notes due May 15, 2024

     397         99.37

4.875% senior notes due May 15, 2044

     300         99.96
  

 

 

    

Total senior notes issued under exchange transaction

   $ 1,949