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Debt (Tables)
12 Months Ended
Dec. 31, 2020
Debt Disclosure [Abstract]  
Schedule of debt instruments
Debt is composed of the following long term obligations.
December 31
(In millions)20202019
Senior notes of CNAF:
5.750%, face amount of $400, due August 15, 2021(1)
$— $399 
3.950%, face amount of $550, due May 15, 2024
548 548 
4.500%, face amount of $500, due March 1, 2026
499 498 
3.450%, face amount of $500, due August 15, 2027
496 496 
3.900%, face amount of $500, due May 1, 2029
496 496 
2.050%, face amount of $500, due August 15, 2030
495 — 
Debenture of CNAF, 7.250%, face amount of $243, due November 15, 2023
242 242 
Total$2,776 $2,679 
(1)    The Company redeemed these notes in the third quarter of 2020.
Maturity of debt
The combined aggregate maturities for debt as of December 31, 2020 are presented in the following table.
(In millions)
2021$— 
2022— 
2023243 
2024550 
2025— 
Thereafter2,000 
Less: discount(17)
Total$2,776