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Debt and Credit Facilities (Tables)
12 Months Ended
Dec. 31, 2022
Debt Disclosure [Abstract]  
Summary of Financing Arrangements
The following table summarizes the carrying amount of our borrowings under various financing arrangements:
(in millions)Carrying Amount
Type of BorrowingIssue DateMaturity DateInterest RateDecember 31, 2022December 31, 2021
Senior UnsecuredSeptember 2016March 20221.95%$— $500 
Senior UnsecuredSeptember 2015September 20223.25%— 999 
Senior UnsecuredSeptember 2016September 20232.50%749 748 
Senior UnsecuredSeptember 2020September 20230.75%1,498 1,496 
Senior UnsecuredMarch 2014April 20243.70%1,748 1,747 
Senior UnsecuredNovember 2014February 20253.50%1,748 1,747 
Senior UnsecuredSeptember 2015March 20263.65%2,742 2,739 
Senior UnsecuredSeptember 2016March 20272.95%1,247 1,247 
Senior UnsecuredSeptember 2020October 20271.20%747 746 
Senior UnsecuredSeptember 2020October 20301.65%993 993 
Senior UnsecuredSeptember 2015September 20354.60%993 992 
Senior UnsecuredSeptember 2016September 20364.00%742 742 
Senior UnsecuredSeptember 2020October 20402.60%988 987 
Senior UnsecuredDecember 2011December 20415.65%996 996 
Senior UnsecuredMarch 2014April 20444.80%1,736 1,736 
Senior UnsecuredNovember 2014February 20454.50%1,733 1,733 
Senior UnsecuredSeptember 2015March 20464.75%2,221 2,220 
Senior UnsecuredSeptember 2016March 20474.15%1,728 1,727 
Senior UnsecuredSeptember 2020October 20502.80%1,477 1,476 
Total senior unsecured notes24,088 25,571 
Liability related to future royalties1,141 1,124 
Total debt, net25,229 26,695 
Less: Current portion of long-term debt and other obligations, net2,273 1,516 
Total Long-term debt, net$22,957 $25,179 
Schedule of Contractual Maturities of Financing Obligations
The following table summarizes the aggregate future principal maturities of our senior unsecured notes as of December 31, 2022:
(in millions)Amount
2023$2,250 
20241,750 
20251,750 
20262,750 
20272,000 
Thereafter13,750 
Total$24,250