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Debt (Tables)
12 Months Ended
Jan. 03, 2015
Debt [Abstract]  
Components of Notes Payable [Table Text Block]
(millions)  2014  2013 
   Principal amount Effective interest rate   Principal amount Effective interest rate  
              
U.S. commercial paper $ 681  0.36% $ 249  0.22% 
Europe commercial paper   96  0.09    437  0.23  
Bank borrowings   51      53    
Total $ 828    $ 739    
Long-term debt schedule [Table Text Block]
(millions)  2014  2013
(a)7.45% U.S. Dollar Debentures due 2031 $ 1,090 $ 1,089
(b)4.0% U.S. Dollar Notes due 2020   842   974
(c)4.45% U.S. Dollar Notes due 2016   760   767
(d)1.75% Euro Notes due 2021   597   -
(e)1.875% U.S. Dollar Notes due 2016   504   505
(f)4.15% U.S. Dollar Notes due 2019   497   488
(g)3.25% U.S. Dollar Notes due 2018   410   411
(h)1.75% U.S. Dollar Notes due 2017   396   395
(i)3.125% U.S. Dollar Notes due 2022   357   682
(j)1.125% U.S. Dollar Notes due 2015   350   350
(k)2.05% Canadian Dollar Notes due 2017   259   -
(l)Floating-rate U.S. Dollar Notes due 2015   250   250
(m)2.75% U.S. Dollar Notes due 2023   210   398
(n)2.10% Canadian Dollar Notes due 2014   -   282
 Other   20   28
     6,542   6,619
Less current maturities   (607)   (289)
Balance at year end$ 5,935 $ 6,330