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Borrowings (Tables)
12 Months Ended
Dec. 31, 2020
Debt Disclosure [Abstract]  
Long-term Debt Including Unamortized Debt Discounts and Premiums
The following table lists long-term debt by instrument outstanding as of December 31, 2020 and 2019.
Date ofPrincipal Amount Outstanding
Issuance20202019
CSC Fixed-rate Senior Notes:
4.450% due July 22, 2020 (1)
07/22/10$— $700 
3.250% due May 21, 2021
05/22/18600 600 
3.225% due September 1, 2022
08/29/12256 256 
2.650% due January 25, 2023
12/07/17800 800 
3.550% due February 1, 2024
10/31/18500 500 
3.000% due March 10, 2025
03/10/15375 375 
4.200% due March 24, 2025
03/24/20600 — 
3.850% due May 21, 2025
05/22/18750 750 
3.450% due February 13, 2026
11/13/15350 350 
0.900% due March 11, 2026
12/11/201,250 — 
3.200% due March 2, 2027
03/02/17650 650 
3.200% due January 25, 2028
12/07/17700 700 
4.000% due February 1, 2029
10/31/18600 600 
3.250% due May 22, 2029
05/22/19600 600 
4.625% due March 22, 2030
03/24/20500 — 
1.650% due March 11, 2031
12/11/20750 — 
Floating-rate Senior Notes:
Three-month LIBOR + 0.32% due May 21, 2021
05/22/18600 600 
Total CSC Senior Notes9,881 7,481 
TDA Fixed-rate Senior Notes:
2.950% due April 1, 2022
03/09/15750 N/A
3.750% due April 1, 2024
11/01/18400 N/A
3.625% due April 1, 2025
10/22/14500 N/A
3.300% due April 1, 2027
04/27/17800 N/A
2.750% due October 1, 2029
08/16/19500 N/A
Floating-rate TDA Senior Notes:
Three-month LIBOR + 0.43% due November 1, 2021
11/01/18600 N/A
Total TDA Senior Notes 3,550 N/A
Other financing— 
Unamortized premium/(discount) — net249 (14)
Debt issuance costs(54)(37)
Total long-term debt$13,632 $7,430 
(1) Matured on July 22, 2020.
N/A Not applicable.
Annual Maturities on Long-term Debt Outstanding
Annual maturities on long-term debt outstanding at December 31, 2020, are as follows:
Maturities
2021$1,802 
20221,008 
2023802 
2024900 
20252,225 
Thereafter6,700 
Total maturities13,437 
Unamortized discount — net249 
Debt issuance costs(54)
Total long-term debt$13,632