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Long-Term Debt and Short-Term Borrowings - Long-Term Debt Issuances (Details)
$ in Millions, € in Billions
1 Months Ended 12 Months Ended
Sep. 30, 2018
USD ($)
Oct. 31, 2017
USD ($)
Aug. 31, 2015
USD ($)
Dec. 31, 2018
USD ($)
Dec. 31, 2017
USD ($)
Sep. 30, 2016
USD ($)
May 31, 2016
EUR (€)
Fixed rate medium term note due 2021              
Debt instrument              
Principal amount $ 400            
Term of debt instrument 3 years            
Interest rate - effective 3.00%            
Variable rate       three-month LIBOR      
Fixed rate medium term notes due 2023              
Debt instrument              
Principal amount   $ 650   $ 650      
Term of debt instrument   5 years 6 months          
Interest rate - effective   2.25%   2.26%      
Fixed rate medium term notes due 2024              
Debt instrument              
Principal amount $ 300     $ 300      
Term of debt instrument 5 years 6 months            
Interest rate - effective 3.25%     3.30%      
Floating rate medium term notes due 2024              
Debt instrument              
Principal amount $ 300     $ 300      
Term of debt instrument 5 years 6 months            
Interest rate - effective       2.91%      
Variable rate       three-month LIBOR      
Fixed rate medium term notes due 2027              
Debt instrument              
Principal amount   $ 850   $ 850      
Term of debt instrument   10 years          
Interest rate - effective   2.875%   2.95%      
Fixed rate medium term notes due 2028              
Debt instrument              
Principal amount $ 600     $ 600      
Term of debt instrument 10 years            
Interest rate - effective 3.625%     3.62%      
Fixed rate medium term note due 2047              
Debt instrument              
Principal amount   $ 500   $ 500      
Term of debt instrument   30 years          
Interest rate - effective   3.625%   3.68%      
Fixed rate medium term note due 2048              
Debt instrument              
Principal amount $ 650     $ 650      
Term of debt instrument 30 years            
Interest rate - effective 4.00%     4.07%      
May 2016 Euro medium term notes issued              
Debt instrument              
Principal amount | €             € 1
September 2016 medium term notes issued              
Debt instrument              
Principal amount           $ 1,750  
Interest rate swap contracts | Fixed rate medium term note due 2021              
Debt instrument              
Derivative notional amount $ 200            
Variable rate       three-month LIBOR      
Fair value hedges | Interest rate swap contracts | Fixed rate medium term note due 2020              
Debt instrument              
Term of debt instrument     5 years        
Derivative notional amount     $ 300   $ 200    
Variable rate       three-month LIBOR      
Fair value hedges | Interest rate swap contracts | Fixed rate medium term note due 2021              
Debt instrument              
Derivative notional amount $ 200            
Fair value hedges | Interest rate swap contracts | Fixed rate medium term note due 2018              
Debt instrument              
Term of debt instrument     3 years        
Derivative notional amount     $ 450