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Debt (tables)
12 Months Ended
Dec. 31, 2011
Debt disclosure  
Debt outstanding [Table Text Block]

 

(at December 31, in millions)
  2011   2010  

Short-term:

             

Commercial paper

  $ 100   $ 100  

5.375% Senior notes due June 15, 2012

    250      

7.22% Real estate non-recourse debt due September 1, 2011

        9  
           

Total short-term debt

    350     109  
           

Long-term:

             

5.375% Senior notes due June 15, 2012

        250  

5.00% Senior notes due March 15, 2013

    500     500  

5.50% Senior notes due December 1, 2015

    400     400  

6.25% Senior notes due June 20, 2016

    400     400  

5.75% Senior notes due December 15, 2017

    450     450  

5.80% Senior notes due May 15, 2018

    500     500  

5.90% Senior notes due June 2, 2019

    500     500  

3.90% Senior notes due November 1, 2020

    500     500  

7.75% Senior notes due April 15, 2026

    200     200  

7.625% Junior subordinated debentures due December 15, 2027

    125     125  

6.375% Senior notes due March 15, 2033

    500     500  

6.75% Senior notes due June 20, 2036

    400     400  

6.25% Senior notes due June 15, 2037

    800     800  

5.35% Senior notes due November 1, 2040

    750     750  

8.50% Junior subordinated debentures due December 15, 2045

    56     56  

8.312% Junior subordinated debentures due July 1, 2046

    73     73  

6.25% Fixed-to-floating rate junior subordinated debentures due March 15, 2067

    115     115  
           

Total long-term debt

    6,269     6,519  
           

Total debt principal

    6,619     6,628  

Unamortized fair value adjustment

    53     54  

Unamortized debt issuance costs

    (67 )   (71 )
           

Total debt

  $ 6,605   $ 6,611  
           
Merger-related unamortized fair value adjustments and the related effective interest rate [Table Text Block]

 

 
   
   
  Unamortized Fair
Value Purchase
Adjustment at
December 31,
   
 
 
   
   
  Effective
Interest Rate
to Maturity
 
(in millions)
  Issue Rate   Maturity Date   2011   2010  

Subordinated debentures

    7.625 %   Dec. 2027   $ 18   $ 19     6.147 %

 

    8.500 %   Dec. 2045     16     16     6.362 %

 

    8.312 %   Jul. 2046     19     19     6.362 %
                             

Total

              $ 53   $ 54