v3.26.1
Debt (Tables)
6 Months Ended
Jun. 30, 2026
Debt Disclosure [Abstract]  
Schedule of Total Debt
The carrying value of our total debt, including short-term and long-term debt, consisted of the following (in millions):
As of June 30, 2026As of December 31, 2025
Short-term debt:
Commercial Paper$1,218 $1,035 
Total short-term debt1,218 1,035 
Long-term debt:
2027 Senior Notes (4.00%; due September 15, 2027)
1,496 1,495 
2027 Senior Notes (3.10%; due September 15, 2027)
499 499 
2028 Senior Notes (3.625%; due September 1, 2028)
963 954 
2028 Senior Notes (3.75%; due September 21, 2028)
598 597 
2028 Senior Notes (3.95%; due December 1, 2028)
595 594 
2029 Senior Notes (4.35%; due June 15, 2029)
1,245 1,245 
2030 Senior Notes (2.10%; due June 15, 2030)
1,243 1,242 
2031 Senior Notes (4.20%; due March 15, 2031)
641 640 
2031 Senior Notes (5.25%; due June 15, 2031)
745 745 
2032 Senior Notes (1.85%; due September 15, 2032)
1,490 1,489 
2033 Senior Notes (4.60%; due March 15, 2033)
1,492 1,491 
2040 Senior Notes (2.65%; due September 15, 2040)
1,235 1,234 
2048 Senior Notes (4.25%; due September 21, 2048)
1,234 1,234 
2050 Senior Notes (3.00%; due June 15, 2050)
1,225 1,224 
2052 Senior Notes (4.95%; due June 15, 2052)
1,468 1,468 
2060 Senior Notes (3.00%; due September 15, 2060)
1,474 1,473 
2062 Senior Notes (5.20%; due June 15, 2062)
985 985 
Total long-term debt18,628 18,609 
Total debt$19,846 $19,644