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Debt (Tables)
9 Months Ended
Sep. 30, 2018
Debt [Table] [Abstract]  
Short-term and Long-term Debt
September 30,December 31,
(In millions)20182017
Short-term
Commercial paper$-$100
Current maturities of long-term debt-131
Other, including capital leases99
Total short-term debt$9$240
Long-term
$250 million, 4.375% Notes due 2020 $247$249
$300 million, 5.125% Notes due 2020 298299
$1,000 million, Floating Rate Notes due 2020 996-
$1,750 million, 3.2% Notes due 20201,741-
$78 million, 6.37% Notes due 20217878
$300 million, 4.5% Notes due 2021 296299
$1,000 million, Floating Rate Notes due 2021995-
$1,250 million, 3.4% Notes due 20211,244-
$750 million, 4% Notes due 2022746745
$100 million, 7.65% Notes due 2023100100
$17 million, 8.3% Notes due 20231717
$700 million, Floating Rate Notes due 2023696-
$3,100 million, 3.75% Notes due 20233,082-
$900 million, 3.25% Notes due 2025895894
$2,200 million, 4.125% Notes due 20252,185-
$600 million, 3.05% Notes due 2027594594
$259 million, 7.875% Debentures due 2027 259258
$3,800 million, 4.375% Notes due 20283,771-
$45 million, 8.3% Step Down Notes due 2033 4545
$191 million, 6.15% Notes due 2036 190190
$2,200 million, 4.8% Notes due 20382,176-
$121 million, 5.875% Notes due 2041 119119
$317 million, 5.375% Notes due 2042 315315
$1,000 million, 3.875% Notes due 2047988988
$3,000 million, 4.9% Notes due 20482,961-
Other, including capital leases79
Total long-term debt$25,041$5,199