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Debt (Tables)
12 Months Ended
Dec. 31, 2020
Debt Disclosure [Abstract]  
Schedule Of Short-Term Debt And Current Portion Of Long-Term Debt
Short-term debt and current portion of long-term debt at December 31 consisted of the following:
20202019
Unsecured debt$1,448 $1,099 
Non-recourse debt and notes15 21 
Finance lease obligations65 71 
Commercial paper6,109 
Other notes165 40 
Total$1,693 $7,340 
Schedule Of Debt
Debt at December 31 consisted of the following:
20202019
Unsecured debt
Variable rate: Eurodollar plus 0.75% - 1.25% due 2022
$13,819 
1.45% - 3.20% due through 2030
10,645 $8,600 
3.25% - 3.90% due through 2059
9,555 7,073 
3.95% - 5.15% due through 2059
13,917 1,731 
5.71% - 6.63% due through 2060
13,005 1,129 
6.88% - 8.75% due through 2043
2,252 2,250 
Commercial paper
6,109 
Non-recourse debt and notes
6.98% notes due through 2021
15 37 
Finance lease obligations due through 2044
203 229 
Other notes172 144 
Total debt$63,583 $27,302 
Schedule of Debt Instruments
Total debt at December 31 is attributable to:
20202019
BCC$1,640 $1,960 
Other Boeing61,943 25,342 
Total debt$63,583 $27,302 
Scheduled Principal Payments For Debt And Capital Lease Obligations
Scheduled principal payments for debt and minimum finance lease obligations for the next five years are as follows:
20212022202320242025
Debt$1,630 $14,976 $3,776 $2,001 $4,301 
Minimum finance lease obligations$68 $53 $31 $14 $6