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Debt - Narrative (Details) - USD ($)
6 Months Ended
Apr. 26, 2022
Mar. 22, 2021
Mar. 04, 2021
Jun. 30, 2022
Jun. 30, 2021
Mar. 13, 2019
Debt            
Proceeds from issuance of debt     $ 1,495,000,000      
Repayments of notes payable       $ 0 $ 1,326,000,000  
Gain (loss) on extinguishment of debt   $ 168,000,000        
1.5 Notes and Debentures Due February 15, 2028            
Debt            
Debt instrument stated interest rate     1.50%      
Long-term debt, gross     $ 600,000,000      
2.0% Notes and Debentures Due February 15, 2031            
Debt            
Debt instrument stated interest rate     2.00%      
Long-term debt, gross     $ 600,000,000      
3.125 Notes and Debentures Due February 15, 2051            
Debt            
Debt instrument stated interest rate     3.125%      
Long-term debt, gross     $ 300,000,000      
5.95 Notes and Debentures Due March 15, 2022            
Debt            
Debt instrument stated interest rate   5.95%        
Repayments of notes payable   $ 326,000,000        
4.45 Notes and Debentures Due April 1, 2025            
Debt            
Debt instrument stated interest rate   4.45%        
Repayments of notes payable   $ 500,000,000        
4.375 Notes and Debentures Due April 1, 2026            
Debt            
Debt instrument stated interest rate   4.375%        
Repayments of notes payable   $ 500,000,000        
2022 Credit Agreement | Line of Credit            
Debt            
Maximum net leverage ratio 4.0          
Minimum interest coverage ratio 2.5          
2022 Credit Agreement | Federal funds effective rate | Line of Credit            
Debt            
Interest rate, basis spread (as a percent) 0.50%          
2022 Credit Agreement | SOFR rate | Line of Credit | Variable Rate Component One            
Debt            
Interest rate, basis spread (as a percent) 0.10%          
2022 Credit Agreement | SOFR rate | Line of Credit | Variable Rate Component One            
Debt            
Interest rate, basis spread (as a percent) 1.00%          
2022 Credit Agreement | CDOR rate | Line of Credit            
Debt            
Interest rate, basis spread (as a percent) 1.00%          
2022 Credit Agreement | Revolver | Line of Credit            
Debt            
Borrowing capacity, maximum $ 1,000,000,000          
Increase in maximum borrowing capacity 500,000,000          
2022 Credit Agreement | Swingline loans | Line of Credit            
Debt            
Borrowing capacity, maximum 125,000,000          
2022 Credit Agreement | Letters of credit | Line of Credit            
Debt            
Borrowing capacity, maximum 25,000,000          
Letters of credit outstanding, amount       $ 0    
2022 Credit Agreement | Revolving Credit Facility, Foreign Denominated Loans | Line of Credit            
Debt            
Borrowing capacity, maximum 500,000,000          
2019 Credit Agreement | Line of Credit            
Debt            
Borrowing capacity, maximum           $ 1,000,000,000
Unsecured Term Loan            
Debt            
Debt instrument, face amount $ 500,000,000          
Unsecured Term Loan | SOFR rate            
Debt            
Debt instrument stated interest rate 0.70%