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Debt and Other Financing Arrangements (Tables)
6 Months Ended
Jun. 30, 2018
Debt Disclosure [Abstract]  
Schedule of Debt [Table Text Block]
 
 
Effective Interest Rate at June 30,

 
June 30,

 
December 31,

(Dollars in millions)
 
2018

 
2018

 
2017

 
 
 
 
 
 
 
Commercial Paper
 
%
 
$
1,005

 
$
960

Floating Rate 2-Year Senior Notes, Due 8/9/2018 (euro-denominated)
 
0.37
%
 
701

 
721

2.15% 3-Year Senior Notes, Due 12/14/2018
 


 

 
450

2.40% 5-Year Senior Notes, Due 2/1/2019
 


 

 
900

Floating Rate 2-Year Senior Notes, Due 7/24/2019 (euro-denominated)
 
0.10
%
 
584

 
600

6.00% 10-Year Senior Notes, Due 3/1/2020
 
2.97
%
 
750

 
750

4.70% 10-Year Senior Notes, Due 5/1/2020
 
4.23
%
 
300

 
300

1.50% 5-Year Senior Notes, Due 12/1/2020 (euro-denominated)
 
1.62
%
 
497

 
510

5.00% 10-Year Senior Notes, Due 1/15/2021
 
3.25
%
 
400

 
400

4.50% 10-Year Senior Notes, Due 3/1/2021
 
6.74
%
 
1,000

 
1,000

3.60% 10-Year Senior Notes, Due 8/15/2021
 
6.55
%
 
1,100

 
1,100

3.30% 7-Year Senior Notes, Due 2/15/2022
 
3.42
%
 
800

 
800

2.15% 7-Year Senior Notes, Due 7/21/2022 (euro-denominated)
 
2.28
%
 
584

 
600

3.15% 10-Year Senior Notes, Due 1/15/2023
 
3.31
%
 
800

 
800

3.00% 7-Year Senior Notes, Due 4/15/2023
 
6.76
%
 
1,000

 
1,000

4.15% 10-Year Senior Notes, Due 2/1/2024
 
4.16
%
 
1,000

 
1,000

0.75% 8-Year Senior Notes, Due 9/12/2024 (euro-denominated)
 
0.94
%
 
1,168

 
1,201

2.00% 10-Year Senior Notes, Due 4/15/2025 (euro-denominated)
 
2.10
%
 
748

 
768

3.65% 10-Year Senior Notes, Due 12/15/2025
 
3.77
%
 
350

 
350

1.40% 8.5-Year Senior Notes, Due 1/23/2026 (euro-denominated)
 
1.53
%
 
818

 
840

2.95% 10-Year Senior Notes, Due 9/19/2026
 
3.19
%
 
1,200

 
1,200

1.45% 10-Year Senior Notes, Due 3/16/2027 (euro-denominated)
 
1.66
%
 
584

 
600

3.20% 10-Year Senior Notes, Due 8/15/2027
 
3.39
%
 
750

 
750

1.375% 12-Year Senior Notes, Due 9/12/2028 (euro-denominated)
 
1.46
%
 
701

 
721

1.95% 12-Year Senior Notes, Due 7/24/2029 (euro-denominated)
 
2.08
%
 
818

 
840

2.875% 20-Year Senior Notes, Due 7/24/2037 (euro-denominated)
 
2.94
%
 
818

 
840

5.30% 30-Year Senior Notes, Due 2/1/2044
 
5.37
%
 
400

 
400

4.10% 30-Year Senior Notes, Due 8/15/2047
 
4.23
%
 
750

 
750

Other
 
 
 
23

 
24

 
 
 
 
 
 
 
Total Borrowings at Par Value
 
 
 
19,649

 
21,175

Fair Value Hedge Accounting Adjustments
 
 
 
(132
)
 
(70
)
Unamortized Discount, Net
 
 
 
(11
)
 
(2
)
Unamortized Debt Issuance Costs
 
 
 
(86
)
 
(95
)
 
 
 
 
 
 
 
Total Borrowings at Carrying Value
 
 
 
19,420

 
21,008

Less: Short-term Obligations and Current Maturities
 
 
 
1,711

 
2,135

 
 
 
 
 
 
 
Long-term Obligations
 
 
 
$
17,709

 
$
18,873

Schedule of Derivative Instruments [Table Text Block]
The following table summarizes the outstanding interest rate swap arrangements on the company's senior notes at June 30, 2018:
 
 
Aggregate Notional Amount

 
 
 
Pay Rate as of

 
 
(Dollars in millions)
 
 
Pay Rate
 
June 30,
2018

 
Receive Rate

 
 
 
 
 
 
 
 
 
4.50% Senior Notes due 2021 (a)
 
1,000

 
1-month LIBOR + 3.4420%
 
5.4245
%
 
4.50
%
3.60% Senior Notes due 2021
 
1,100

 
1-month LIBOR + 2.5150%
 
4.5883
%
 
3.60
%
3.00% Senior Notes due 2023 (a)
 
1,000

 
1-month LIBOR + 1.7640%
 
3.8373
%
 
3.00
%