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Long-Term Debt - Senior Notes (Details) - Parent Company - Senior Notes - USD ($)
$ in Millions
Jul. 27, 2023
Oct. 27, 2022
Jul. 28, 2022
Apr. 25, 2022
Nov. 01, 2021
May 05, 2020
Oct. 28, 2019
Mar. 14, 2018
Dec. 31, 2023
Jan. 25, 2019
Fixed Rate 3.95% Notes Due 2028                    
Debt Instrument                    
Principal amount               $ 650    
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
Interest rate (as a percent)                 3.65% 3.65%
Fixed Rate 2.375% Notes Due 2025                    
Debt Instrument                    
Principal amount             $ 750      
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% Notes Due 2023                    
Debt Instrument                    
Interest rate (as a percent)                 1.625%  
Fixed Rate 2.55% Notes Due 2027                    
Debt Instrument                    
Principal amount           $ 750        
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          
Redemption period prior to maturity date         30 days          
Interest rate paid (as a percent)         6.05%          
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 | Secured Overnight Financing Rate (SOFR)                    
Debt Instrument                    
Basis spread on variable rate (as a percent)         0.685%          
Senior Notes with Floating Interest Rate | Secured Overnight Financing Rate (SOFR)                    
Debt Instrument                    
Basis spread on variable rate (as a percent)         0.69%          
Fixed Rate/Floating Rate Senior Notes Due April 2028 And 2033                    
Debt Instrument                    
Principal amount       $ 1,000            
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            
Interest rate (as a percent)       4.055%            
Interest rate paid (as a percent)                 6.70%  
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 | Secured Overnight Financing Rate (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 | Secured Overnight Financing Rate, Floating (SOFR)                    
Debt Instrument                    
Basis spread on variable rate (as a percent)       1.357%            
Fixed Rate/Floating Rate 4.337 Percent Senior Notes Due April 2033                    
Debt Instrument                    
Principal amount       $ 600            
Interest rate (as a percent)       4.337%            
Interest rate paid (as a percent)                 7.00%  
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 | Secured Overnight Financing Rate (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 | Secured Overnight Financing Rate, Floating (SOFR)                    
Debt Instrument                    
Basis spread on variable rate (as a percent)       1.666%            
Fixed Rate/Floating Rate Senior Notes Due July 2030                    
Debt Instrument                    
Principal amount     $ 1,000              
Interest rate (as a percent)                 7.47%  
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 | Secured Overnight Financing Rate (SOFR)                    
Debt Instrument                    
Basis spread on variable rate (as a percent)     2.127%              
Fixed Rate/Floating Rate Senior Notes Due July 2030 | Secured Overnight Financing Rate (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                
Redemption period prior to maturity date   180 days                
Interest rate paid (as a percent)                 7.53%  
Fixed Rate/Floating Rate Senior Notes Due October 2028 | Debt Instrument, Redemption, Period Four                    
Debt Instrument                    
Redemption period prior to maturity date   1 year                
Debt instrument, redemption period   30 days                
Fixed Rate/Floating Rate Senior Notes Due October 2028 | Secured Overnight Financing Rate (SOFR)                    
Debt Instrument                    
Basis spread on variable rate (as a percent)   2.192%                
Fixed Rate/Floating Rate Senior Notes Due October 2028 | Secured Overnight Financing Rate (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%                
Fixed Rate/Floating Rate Senior Notes Due July 27, 2029                    
Debt Instrument                    
Principal amount $ 1,250                  
Interest rate (as a percent) 6.339%                  
Fixed Rate/Floating Rate Senior Notes Due July 27, 2029 | Debt Instrument, Redemption, Period One                    
Debt Instrument                    
Debt instrument, redemption period 1 year                  
Fixed Rate/Floating Rate Senior Notes Due July 27, 2029 | Debt Instrument, Redemption, Period Two                    
Debt Instrument                    
Debt instrument, redemption period 30 days                  
Fixed Rate/Floating Rate Senior Notes Due July 27, 2029 | Debt Instrument, Redemption, Period Five                    
Debt Instrument                    
Debt instrument, redemption period 180 days                  
Fixed Rate/Floating Rate Senior Notes Due July 27, 2029 | Secured Overnight Financing Rate (SOFR)                    
Debt Instrument                    
Basis spread on variable rate (as a percent) 2.34%