Quarterly report pursuant to Section 13 or 15(d)

DEBT (Details)

v3.21.2
DEBT (Details)
$ in Millions
3 Months Ended 9 Months Ended
Aug. 18, 2021
USD ($)
Aug. 19, 2020
USD ($)
Aug. 22, 2018
USD ($)
Oct. 03, 2021
USD ($)
Rate
Sep. 27, 2020
USD ($)
Oct. 03, 2021
USD ($)
Rate
Sep. 27, 2020
USD ($)
Dec. 31, 2020
USD ($)
Rate
Short-term Debt [Line Items]                
Loans payable       $ 85   $ 85   $ 169
Commercial paper       200   200   323
Line of Credit Facility, Maximum Borrowing Capacity       $ 3,500   $ 3,500    
Leverage Ratio       0.65   0.65    
Line of Credit Facility, Remaining Borrowing Capacity       $ 3,300   $ 3,300    
Long-term debt                
Other Long-term Debt       124   124   132
Unamortized discount and deferred issuance costs       (68)   (68)   (72)
Fair value adjustment due to hedge on indebtedness       39   39   48
Finance Lease, Liability       89   89   91
Total long-term debt       3,657   3,657   3,672
Current maturities of long-term debt       55   55   62
Long-term debt       3,602   3,602   3,610
Principal payments                
2021       16   16    
2022       58   58    
2023       536   536    
2024       31   31    
2025       507   507    
Fair value                
Fair value of total debt       4,285   4,285   4,665
Carrying value of total debt       3,942   $ 3,942   4,164
London Interbank Offered Rate (LIBOR)                
Principal payments                
Debt Instrument, Description of Variable Rate Basis           LIBOR    
London Interbank Offered Rate (LIBOR) Swap Rate                
Principal payments                
Debt Instrument, Description of Variable Rate Basis           LIBOR    
Maximum                
Principal payments                
Gain (Loss) on Swaps           $ (1)    
Gain (Loss) on Borrowings           $ 1    
5-Year Revolving Credit Facility                
Short-term Debt [Line Items]                
Line of Credit Facility, Maximum Borrowing Capacity $ 2,000   $ 2,000          
Debt Instrument, Term 5 years   5 years          
Line of Credit Facility, Capacity Available for Specific Purpose Other than for Trade Purchases $ 300              
Debt Instrument, Basis Spread on Variable Rate           0.75%    
1-year revolving credit agreement                
Short-term Debt [Line Items]                
Line of Credit Facility, Maximum Borrowing Capacity $ 1,500 $ 1,500            
Debt Instrument, Term 364 days 364 days            
EUROPE                
Short-term Debt [Line Items]                
Commercial paper               123
UNITED STATES                
Short-term Debt [Line Items]                
Commercial paper       200   $ 200   $ 200
Interest Rate Swap                
Principal payments                
Interest Rate Swap/Lock, Notional Amount       500   500    
Other Comprehensive Income (Loss), Cash Flow Hedge, Gain (Loss), after Reclassification, before Tax       0 $ 17 28 $ (52)  
Commercial Paper                
Short-term Debt [Line Items]                
Short-term Debt, Weighted Average Interest Rate, at Point in Time | Rate               (0.01%)
Line of Credit Facility, Maximum Borrowing Capacity       $ 3,500   $ 3,500    
Commercial Paper | EUROPE                
Short-term Debt [Line Items]                
Short-term Debt, Weighted Average Interest Rate, at Point in Time | Rate               (0.34%)
Commercial Paper | UNITED STATES                
Short-term Debt [Line Items]                
Short-term Debt, Weighted Average Interest Rate, at Point in Time | Rate       0.14%   0.14%   0.19%
International and Other Lines of Credit                
Short-term Debt [Line Items]                
Line of Credit Facility, Remaining Borrowing Capacity       $ 268   $ 268    
Senior notes, due 2023                
Long-term debt                
Debt instrument interest rate (as a percent) | Rate       3.65%   3.65%    
Unsecured Debt       $ 500   $ 500   $ 500
Senior notes, due 2025(1)                
Long-term debt                
Debt instrument interest rate (as a percent) | Rate       0.75%   0.75%    
Unsecured Debt       $ 500   $ 500   500
Senior notes, due 2025(1) | Interest Rate Swap                
Principal payments                
Interest Rate Swap/Lock, Notional Amount       $ 400   $ 400    
Debentures, due 2027                
Long-term debt                
Debt instrument interest rate (as a percent) | Rate       6.75%   6.75%    
Unsecured Debt       $ 58   $ 58   58
Debentures, due 2028                
Long-term debt                
Debt instrument interest rate (as a percent) | Rate       7.125%   7.125%    
Unsecured Debt       $ 250   $ 250   250
Senior notes, due 2030                
Long-term debt                
Debt instrument interest rate (as a percent) | Rate       1.50%   1.50%    
Unsecured Debt       $ 850   $ 850   850
Senior notes, due 2043                
Long-term debt                
Debt instrument interest rate (as a percent) | Rate       4.875%   4.875%    
Unsecured Debt       $ 500   $ 500   500
Senior notes, due 2050                
Long-term debt                
Debt instrument interest rate (as a percent) | Rate       2.60%   2.60%    
Unsecured Debt       $ 650   $ 650   650
Debentures, due 2098(2)                
Long-term debt                
Debt instrument interest rate (as a percent) | Rate       5.65%   5.65%    
Unsecured Debt       $ 165   $ 165   $ 165
Effective interest rate (as a percent) | Rate       7.48%   7.48%