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Long-Term Debt - Senior Notes (Details) - Parent Company - Senior Notes - USD ($)
Oct. 27, 2022
Jul. 28, 2022
Apr. 25, 2022
Nov. 01, 2021
May 05, 2020
Oct. 28, 2019
Jan. 25, 2019
Mar. 14, 2018
Dec. 31, 2022
Fixed Rate 3.50% Due 2022                  
Debt Instrument                  
Interest rate (as a percent)                 3.50%
Fixed Rate 2.60% Notes Due 2022                  
Debt Instrument                  
Interest rate (as a percent)                 2.60%
Fixed Rate 3.95% Notes Due 2028                  
Debt Instrument                  
Principal amount               $ 650,000,000  
Interest rate (as a percent)               3.95% 3.95%
Redemption period prior to maturity date               30 days  
Redemption price (as a percent)               100.00%  
Fixed Rate 3.65% Notes Due 2024                  
Debt Instrument                  
Principal amount             $ 1,500,000,000    
Interest rate (as a percent)             3.65%    
Redemption period prior to maturity date             30 days    
Redemption price (as a percent)             100.00%    
Fixed Rate 2.375% Notes Due 2025                  
Debt Instrument                  
Principal amount           $ 750,000,000      
Interest rate (as a percent)           2.375%     2.375%
Redemption period prior to maturity date           30 days      
Redemption price (as a percent)           100.00%      
Fixed Rate 2.375% Notes Due 2025 | U.S. Treasury Rate                  
Debt Instrument                  
Basis spread on variable rate (as a percent)           0.15%      
Fixed Rate 1.625% and 2.55% Notes                  
Debt Instrument                  
Principal amount         $ 1,250,000,000        
Fixed Rate 1.625% Notes Due 2023                  
Debt Instrument                  
Principal amount         $ 500,000,000        
Interest rate (as a percent)         1.625%       1.625%
Redemption price (as a percent)         100.00%        
Debt term         3 years        
Fixed Rate 1.625% Notes Due 2023 | U.S. Treasury Rate                  
Debt Instrument                  
Basis spread on variable rate (as a percent)         0.25%        
Fixed Rate 2.55% Notes Due 2027                  
Debt Instrument                  
Principal amount         $ 750,000,000        
Interest rate (as a percent)         2.55%       2.55%
Redemption price (as a percent)         100.00%        
Debt term         7 years        
Fixed Rate 2.55% Notes Due 2027 | U.S. Treasury Rate                  
Debt Instrument                  
Basis spread on variable rate (as a percent)         0.35%        
Fixed Rate/Floating Rate Senior Notes Due November 1, 2027                  
Debt Instrument                  
Principal amount       $ 500,000,000          
Redemption period prior to maturity date       30 days          
Interest rate paid (as a percent)       4.69%          
Fixed Rate/Floating Rate Senior Notes Due November 1, 2027 | Debt Instrument, Redemption, Period One                  
Debt Instrument                  
Redemption price (as a percent)       100.00%          
Debt instrument, redemption period     1 year            
Fixed Rate/Floating Rate Senior Notes Due November 1, 2027 | Debt Instrument, Redemption, Period Two                  
Debt Instrument                  
Redemption price (as a percent)       100.00%          
Fixed Rate 1.707% Senior Notes                  
Debt Instrument                  
Interest rate (as a percent)       1.707%          
Senior Notes with Compounded SOFR Interest Rate | SOFR                  
Debt Instrument                  
Basis spread on variable rate (as a percent)       0.685%          
Senior Notes with Floating Interest Rate | LIBOR                  
Debt Instrument                  
Basis spread on variable rate (as a percent)       0.57%          
Fixed Rate/Floating Rate Senior Notes Due April 2028 And 2033                  
Debt Instrument                  
Principal amount     $ 1,000,000,000            
Fixed Rate/Floating Rate Senior Notes Due April 2028 And 2033 | Debt Instrument, Redemption, Period One                  
Debt Instrument                  
Debt instrument, redemption period     1 year            
Fixed Rate/Floating Rate 4.055 Percent Senior Notes Due April 2028                  
Debt Instrument                  
Principal amount     $ 400,000,000            
Interest rate (as a percent)     4.055%            
Interest rate paid (as a percent)                 5.63%
Fixed Rate/Floating Rate 4.055 Percent Senior Notes Due April 2028 | Debt Instrument, Redemption, Period Two                  
Debt Instrument                  
Debt instrument, redemption period     30 days            
Fixed Rate/Floating Rate 4.055 Percent Senior Notes Due April 2028 | SOFR                  
Debt Instrument                  
Basis spread on variable rate (as a percent)     1.355%            
Fixed Rate/Floating Rate 4.055 Percent Senior Notes Due April 2028 | LIBOR                  
Debt Instrument                  
Basis spread on variable rate (as a percent)     1.239%            
Fixed Rate/Floating Rate 4.337 Percent Senior Notes Due April 2033                  
Debt Instrument                  
Principal amount     $ 600,000,000            
Interest rate (as a percent)     4.337%            
Interest rate paid (as a percent)                 5.93%
Fixed Rate/Floating Rate 4.337 Percent Senior Notes Due April 2033 | Debt Instrument, Redemption, Period Three                  
Debt Instrument                  
Debt instrument, redemption period     90 days            
Fixed Rate/Floating Rate 4.337 Percent Senior Notes Due April 2033 | SOFR                  
Debt Instrument                  
Basis spread on variable rate (as a percent)     1.66%            
Fixed Rate/Floating Rate 4.337 Percent Senior Notes Due April 2033 | LIBOR                  
Debt Instrument                  
Basis spread on variable rate (as a percent)     1.543%            
Fixed Rate/Floating Rate Senior Notes Due July 2030                  
Debt Instrument                  
Principal amount   $ 1,000,000,000              
Interest rate (as a percent)                 6.43%
Fixed Rate/Floating Rate Senior Notes Due July 2030 | Debt Instrument, Redemption, Period One                  
Debt Instrument                  
Debt instrument, redemption period   1 year              
Fixed Rate/Floating Rate Senior Notes Due July 2030 | Debt Instrument, Redemption, Period Four                  
Debt Instrument                  
Debt instrument, redemption period   60 days              
Fixed Rate/Floating Rate Senior Notes Due July 2030 | SOFR                  
Debt Instrument                  
Basis spread on variable rate (as a percent)   2.127%              
Fixed Rate/Floating Rate Senior Notes Due July 2030 | SOFR | Interest rate swaps                  
Debt Instrument                  
Basis spread on variable rate (as a percent)   2.132%              
Fixed Rate 4.772 Percent Senior Notes Due July 2030                  
Debt Instrument                  
Interest rate (as a percent)   4.772%              
Fixed Rate/Floating Rate Senior Notes Due October 2028                  
Debt Instrument                  
Principal amount $ 1,000,000,000                
Redemption period prior to maturity date 180 days                
Interest rate paid (as a percent)                 6.49%
Fixed Rate/Floating Rate Senior Notes Due October 2028 | Debt Instrument, Redemption, Period Four                  
Debt Instrument                  
Debt instrument, redemption period 30 days   1 year            
Fixed Rate/Floating Rate Senior Notes Due October 2028 | SOFR                  
Debt Instrument                  
Basis spread on variable rate (as a percent) 2.192%                
Fixed Rate/Floating Rate Senior Notes Due October 2028 | SOFR | Interest rate swaps                  
Debt Instrument                  
Basis spread on variable rate (as a percent) 2.193%                
Fixed Rate 6.361 Percent Senior Notes Due October 2028                  
Debt Instrument                  
Interest rate (as a percent) 6.361%