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Debt and Other Financing Arrangements (Tables)
6 Months Ended
Jul. 02, 2022
Debt Disclosure [Abstract]  
Schedule of Debt [Table Text Block]
Effective interest rate at July 2,July 2,December 31,
(Dollars in millions)202220222021
Commercial Paper$— $2,522 
Floating Rate (SOFR + 0.35%) 1.5-Year Senior Notes, Due 4/18/2023
1,000 1,000 
Floating Rate (SOFR + 0.39%) 2-Year Senior Notes, Due 10/18/2023
500 500 
0.797% 2-Year Senior Notes, Due 10/18/2023
1.04 %1,350 1,350 
Floating Rate (EURIBOR + 0.20%) 2-Year Senior Notes Due 11/18/2023 (euro-denominated)
0.00 %1,770 1,933 
0.000% 2-Year Senior Notes Due 11/18/2023 (euro-denominated)
0.06 %573 625 
0.75% 8-Year Senior Notes, Due 9/12/2024 (euro-denominated)
0.93 %1,041 1,137 
1.215% 3-Year Senior Notes, Due 10/18/2024
1.42 %2,500 2,500 
Floating Rate (SOFR + 0.53%) 3-Year Senior Notes, Due 10/18/2024
500 500 
0.125% 5.5-Year Senior Notes, Due 3/1/2025 (euro-denominated)
0.40 %833 910 
2.00% 10-Year Senior Notes, Due 4/15/2025 (euro-denominated)
2.09 %666 728 
0.000% 4-Year Senior Notes, Due 11/18/2025 (euro-denominated)
0.15 %573 625 
3.65% 10-Year Senior Notes, Due 12/15/2025
— 350 
1.40% 8.5-Year Senior Notes, Due 1/23/2026 (euro-denominated)
1.52 %729 796 
1.45% 10-Year Senior Notes, Due 3/16/2027 (euro-denominated)
1.65 %521 568 
1.75% 7-Year Senior Notes, Due 4/15/2027 (euro-denominated)
1.96 %625 682 
0.50% 8.5-Year Senior Notes, Due 3/1/2028 (euro-denominated)
0.76 %833 910 
1.375% 12-Year Senior Notes, Due 9/12/2028 (euro-denominated)
1.46 %625 682 
1.750% 7-Year Senior Notes, Due 10/15/2028
1.89 %700 700 
1.95% 12-Year Senior Notes, Due 7/24/2029 (euro-denominated)
2.07 %729 796 
2.60% 10-Year Senior Notes, Due 10/1/2029
2.74 %900 900 
0.80% 9-Year Senior Notes, Due 10/18/2030 (euro-denominated)
0.88 %1,822 1,990 
0.875% 12-Year Senior Notes, Due 10/1/2031 (euro-denominated)
1.13 %937 1,023 
2.00% 10-Year Senior Notes, Due 10/15/2031
2.23 %1,200 1,200 
2.375% 12-Year Senior Notes, Due 4/15/2032 (euro-denominated)
2.54 %625 682 
1.125% 12-Year Senior Notes, Due 10/18/2033 (euro-denominated)
1.20 %1,562 1,706 
2.875% 20-Year Senior Notes, Due 7/24/2037 (euro-denominated)
2.94 %729 796 
1.50% 20-Year Senior Notes, Due 10/1/2039 (euro-denominated)
1.73 %937 1,023 
2.80% 20-Year Senior Notes, Due 10/15/2041
2.90 %1,200 1,200 
Effective interest rate at July 2,July 2,December 31,
(Dollars in millions)202220222021
1.625% 20-Year Senior Notes, Due 10/18/2041 (euro-denominated)
1.76 %1,302 1,421 
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 
1.875% 30-Year Senior Notes, Due 10/1/2049 (euro-denominated)
1.98 %1,041 1,137 
2.00% 30-Year Senior Notes, Due 10/18/2051 (euro-denominated)
2.06 %781 853 
Other 74 76 
Total borrowings at par value
30,328 34,971 
Unamortized discount
(107)(117)
Unamortized debt issuance costs
(161)(184)
Total borrowings at carrying value
30,060 34,670 
Finance lease liabilities
200 200 
Less: Short-term obligations and current maturities
1,010 2,537 
Long-term obligations$29,250 $32,333 
SOFR - Secured Overnight Financing Rate
EURIBOR - Euro Interbank Offered Rate