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DEBT - Schedule of Debt (Details) - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2020
Dec. 31, 2019
Debt:    
Long-term debt, gross $ 8,176,617 $ 7,950,663
Debt issuance costs (28,917) (25,875)
Total debt 8,147,700 7,924,788
Short-term debt and current portion of long-term debt (1,460,604) (1,154,564)
Long-term debt 6,687,096 6,770,224
Unamortized original issue discounts 5,000 6,000
Fair market value adjustment on notes subject to hedging 6,000  
Debt Proceeds 1,756,497  
Debt Repayments 1,064,096  
Interest Rate Swap | Fair Value Hedging | Designated as Hedging Instrument    
Debt:    
Notional amount $ 375,000 525,000
U.S. commercial paper    
Debt:    
Long-term debt, weighted-average interest rate 0.69%  
Long-term debt, gross $ 76,410 511,486
Canadian commercial paper    
Debt:    
Long-term debt, weighted-average interest rate 1.24%  
Long-term debt, gross $ 118,146 136,199
Trade receivables program    
Debt:    
Long-term debt, weighted-average interest rate 1.11%  
Long-term debt, gross $ 200,000 0
Debt Proceeds 300,000  
Debt Repayments $ 100,000  
Global revolving credit facility    
Debt:    
Long-term debt, weighted-average interest rate 1.20%  
Long-term debt, gross $ 1,800 8,104
Unsecured U.S. notes — Medium-term notes    
Debt:    
Long-term debt, weighted-average interest rate 3.33%  
Long-term debt, gross $ 6,071,198 5,965,064
Unsecured U.S. obligations    
Debt:    
Long-term debt, weighted-average interest rate 2.33%  
Long-term debt, gross $ 600,000 200,000
Unsecured foreign obligations    
Debt:    
Long-term debt, weighted-average interest rate 2.04%  
Long-term debt, gross $ 309,627 270,719
Asset-backed U.S. obligations    
Debt:    
Long-term debt, weighted-average interest rate 2.51%  
Long-term debt, gross $ 751,567 807,374
Debt Repayments 60,318  
Finance lease obligations and other    
Debt:    
Long-term debt, gross 47,869 $ 51,717
Floating-rate unsecured 364-day U.S. term loan    
Debt:    
Debt Proceeds $ 400,000  
4.625% Medium-term notes (due June 2025)    
Debt:    
Stated interest rate 4.625%  
Debt Proceeds $ 399,924  
3.35% Medium-term notes (due September 2025)    
Debt:    
Stated interest rate 3.35%  
Debt Proceeds $ 399,724  
Unsecured foreign term loans (1.71% due February 2021 and 1.89% due February 2023)    
Debt:    
Debt Proceeds $ 177,926  
Unsecured Foreign Term Loans, Due February 2021    
Debt:    
Stated interest rate 1.71%  
Unsecured Foreign Term Loans, Due February 2023    
Debt:    
Stated interest rate 1.89%  
Unsecured foreign term loans (2.94% due February 2021 and 2.99% due February 2022)    
Debt:    
Debt Proceeds $ 60,132  
Canada Term Loan, Due February 2021    
Debt:    
Stated interest rate 2.94%  
Canada Term Loan, Due February 2022    
Debt:    
Stated interest rate 2.99%  
Unsecured foreign term loan (3.44% due February 2023)    
Debt:    
Stated interest rate 3.44%  
Debt Proceeds $ 18,791  
2.65% Medium-term notes (due March 2020)    
Debt:    
Stated interest rate 2.65%  
Debt Repayments $ 400,000  
2.50% Medium-term notes (due May 2020)    
Debt:    
Stated interest rate 2.50%  
Debt Repayments $ 300,000  
Unsecured foreign term loans (1.71% due March 2020 and 1.89% due March 2020)    
Debt:    
Debt Repayments $ 177,926  
Unsecured Foreign Term Loans Due March 2020    
Debt:    
Stated interest rate 1.71%  
Unsecured Foreign Term Loans, Due March 2020    
Debt:    
Stated interest rate 1.89%  
Canadian term loan, finance lease obligations, and other repayments    
Debt:    
Debt Repayments $ 25,852