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FINANCING ARRANGEMENTS - Senior Secured Credit Facilities 2018 Activities (Details) - USD ($)
12 Months Ended
May 23, 2019
Mar. 08, 2019
Nov. 27, 2018
Jun. 01, 2018
Mar. 26, 2018
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2017
Dec. 27, 2019
Mar. 31, 2019
Mar. 28, 2017
Mar. 21, 2017
Jan. 01, 2017
Mar. 27, 2015
Debt Instrument [Line Items]                            
Repayments of long-term debt           $ 4,406,000,000 $ 10,101,000,000 $ 14,203,000,000            
Proceeds from issuance of long-term debt           5,960,000,000 8,944,000,000 9,424,000,000            
Loss on extinguishment of debt   $ 8,000,000       $ 42,000,000 119,000,000 $ 122,000,000            
Debt issuance cost     $ 25,000,000 $ 74,000,000                    
Payments of debt restructuring costs       4,000,000                    
Senior Unsecured Notes                            
Debt Instrument [Line Items]                            
Loss on extinguishment of debt $ 32,000,000       $ 26,000,000                  
Series F Tranche B Term Loan Facility                            
Debt Instrument [Line Items]                            
Repayments of long-term debt       3,315,000,000                    
Loss on extinguishment of debt       $ 48,000,000                    
Term Loan B Facility Due June 2025                            
Debt Instrument [Line Items]                            
Debt instrument, term     7 years 7 years                    
Aggregate principal amount     $ 1,500,000,000 $ 4,565,000,000                    
Stated interest rate           4.74%                
5.375% Senior Notes due March 2020 | Senior Unsecured Notes                            
Debt Instrument [Line Items]                            
Repayments of long-term debt       $ 691,000,000                    
Aggregate principal amount                           $ 2,000,000,000
Stated interest rate       5.375%                   5.375%
6.75% Senior Notes due in August 2021 | Senior Unsecured Notes                            
Debt Instrument [Line Items]                            
Repayments of long-term debt       $ 578,000,000                    
Stated interest rate       6.75%                    
7.25% Senior Notes due in July 2022 | Senior Unsecured Notes                            
Debt Instrument [Line Items]                            
Repayments of long-term debt       $ 550,000,000                    
Stated interest rate       7.25%                    
6.375% Senior Notes due in October 2020 | Senior Unsecured Notes                            
Debt Instrument [Line Items]                            
Repayments of long-term debt       $ 146,000,000                    
Stated interest rate       6.375%                    
8.50% Senior Unsecured Notes Due January 2027 | Senior Unsecured Notes                            
Debt Instrument [Line Items]                            
Aggregate principal amount       $ 750,000,000           $ 1,000,000,000        
Stated interest rate       8.50%   8.50%                
Proceeds from issuance of long-term debt       $ 750,000,000                    
7.50% Senior Notes due July 2021 | Senior Unsecured Notes                            
Debt Instrument [Line Items]                            
Repayments of long-term debt     $ 1,483,000,000                      
Stated interest rate     7.50%                      
Loss on extinguishment of debt     $ 43,000,000                      
Repurchased face amount                 $ 17,000,000          
Revolving credit facility                            
Debt Instrument [Line Items]                            
Repayments of long-term debt             $ 571,000,000              
Maximum borrowing capacity                     $ 1,190,000,000   $ 1,500,000,000  
Revolving credit facility | 2023 Revolving Credit Facility Due June 2023                            
Debt Instrument [Line Items]                            
Maximum borrowing capacity       $ 1,225,000,000                    
Aggregate principal amount                       $ 4,962,000,000    
Alternate term, number of days prior to scheduled maturity in excess of principal amount threshold       91 days                    
Alternate term, principal amount maturity threshold       $ 1,000,000,000                    
Stated interest rate           4.74%