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Financing (Tables)
3 Months Ended
Apr. 01, 2016
Debt Disclosure [Abstract]  
Components Of Debt
The components of the Company’s debt were as follows ($ in millions):
 
April 1, 2016
 
December 31, 2015
U.S. dollar-denominated commercial paper
$
394.8

 
$
920.0

Euro-denominated commercial paper (€2.4 billion and €2.8 billion, respectively)
2,702.0

 
3,096.9

2.3% senior unsecured notes due 2016
500.0

 
500.0

4.0% senior unsecured bonds due 2016 (CHF 120.0 million aggregate principal amount)
128.2

 
122.6

Floating rate senior unsecured notes due 2017 (€500.0 million aggregate principal amount)
571.4

 
544.8

0.0% senior unsecured bonds due 2017 (CHF 100.0 million aggregate principal amount)
104.3

 
99.7

1.65% senior unsecured notes due 2018
497.3

 
497.1

5.625% senior unsecured notes due 2018
500.0

 
500.0

1.0% senior unsecured notes due 2019 (€600.0 million aggregate principal amount)
682.6

 
651.0

5.4% senior unsecured notes due 2019
750.0

 
750.0

2.4% senior unsecured notes due 2020
496.1

 
495.9

5.0% senior unsecured notes due 2020
410.7

 
410.7

Zero-coupon Liquid Yield Option Notes (LYONs) due 2021
72.6

 
72.6

0.352% senior unsecured notes due 2021 (¥30.0 billion aggregate principal amount)
267.7

 

3.9% senior unsecured notes due 2021
600.0

 
600.0

1.7% senior unsecured notes due 2022 (€800.0 million aggregate principal amount)
908.9

 
866.8

0.5% senior unsecured bonds due 2023 (CHF 540.0 million aggregate principal amount)
566.0

 
541.6

2.5% senior unsecured notes due 2025 (€800.0 million aggregate principal amount)
910.1

 
867.9

3.35% senior unsecured notes due 2025
495.4

 
495.3

1.125% senior unsecured bonds due 2028 (CHF 110.0 million aggregate principal amount)
115.7

 
110.7

4.375% senior unsecured notes due 2045
499.3

 
499.3

Other
218.6

 
227.5

Subtotal
12,391.7

 
12,870.4

Less: currently payable
197.0

 
845.2

Long-term debt
$
12,194.7

 
$
12,025.2