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Notes Payable (Tables) - Notes and bonds payable
6 Months Ended
Jun. 30, 2019
Debt  
Schedule of unsecured notes and bonds
Our senior unsecured notes and bonds consist of the following, sorted by maturity date (dollars in millions):
 
June 30, 2019

 
December 31, 2018

5.750% notes, issued in June 2010 and due in January 2021
$
250

 
$
250

3.250% notes, $450 issued in October 2012 and $500 issued in December 2017, both due in October 2022
950

 
950

4.650% notes, issued in July 2013 and due in August 2023
750

 
750

3.875% notes, issued in June 2014 and due in July 2024
350

 
350

3.875% notes, issued in April 2018 and due in April 2025
500

 
500

4.125% notes, $250 issued in September 2014 and $400 issued in March 2017, both due in October 2026
650

 
650

3.000% notes, issued in October 2016 and due in January 2027
600

 
600

3.650% notes, issued in December 2017 and due in January 2028
550

 
550

3.250% notes, issued in June 2019 and due in June 2029
500

 

2.730% notes, issued in May 2019 and due in May 2034 (1)
400

 

5.875% bonds, $100 issued in March 2005 and $150 issued in June 2011, both due in March 2035
250

 
250

4.650% notes, $300 issued in March 2017 and $250 issued in December 2017, both due in March 2047
550

 
550

Total principal amount
6,300

 
5,400

Unamortized net original issuance premiums and deferred financing costs
(32
)
 
(23
)
 
$
6,268

 
$
5,377


(1) 
Represents the principal balance (in U.S. dollars) of the Sterling-denominated private placement of £315.0 million based on the applicable exchange rate on June 30, 2019.
Schedule of maturity of debt, net
The following table summarizes the maturity of our notes and bonds payable as of June 30, 2019, excluding net unamortized original issuance premiums and deferred financing costs (dollars in millions):
Year of Maturity
 
Principal

2021
 
$
250

2022
 
950

2023
 
750

Thereafter
 
4,350

Totals
 
$
6,300