v3.26.1
CREDIT AGREEMENTS AND BORROWINGS (Tables)
6 Months Ended
Jun. 27, 2026
Debt Disclosure [Abstract]  
Schedule of Current Portion of Long-Term Borrowings and Other Short-Term Borrowings
The Company’s Current portion of long-term borrowings and other short-term borrowings consists of the following as of:
(in millions)
June 27, 2026December 31, 2025
Current portion of long-term debt (1)
$28 $76 
Other short-term debt
Total $29 $77 
(1) Consists of a portion of the secured Dollar Term Loans (as defined herein) bearing variable interest rate.
Schedule of Long-Term Borrowings
The long-term borrowings and the effective interest rates are summarized as follows as of:
June 27, 2026December 31, 2025
Maturity dates
by fiscal year
Amount
(in millions)
Average effective interest rate
Amount
(in millions)
Average effective interest rate
Long-term borrowings
Unsecured debt
Fixed2029$2,500 5.61 %$2,500 5.61 %
Total unsecured debt2,500 2,500 
Secured debt
Fixed2029 - 20337,500 4.79 %6,000 4.79 %
Variable2026 - 20332,750 6.97 %4,255 7.10 %
Total secured debt10,250 10,255 
Total debt12,750 12,755 
Less: amounts due within one year(28)(76)
Total other (1)
(174)(195)
Total long-term borrowings$12,548 $12,484 
(1) Includes deferred financing costs and embedded derivative related to the Dollar Term Loans (as defined herein).
The fair value of the Company’s long-term borrowings as of June 27, 2026 and December 31, 2025 was based on recent trades as reported by a third-party bond pricing service and summarized as follows. Due to the infrequency of trades, these inputs are considered to be Level 2 inputs.

(in millions)
June 27, 2026December 31, 2025
Dollar Term Loans$2,736 $4,276 
3.875% fixed rate note
4,376 4,399 
5.000% fixed rate note
1,247 — 
5.250% fixed rate note
3,234 2,516 
6.250% fixed rate note
1,023 1,553 
Schedule of Maturities of Long-Term Debt
Future aggregate principal amounts for the remainder of fiscal year 2026 and over the next four years and thereafter are as follows:

(in millions)
Debt Maturities
2026$21 
202728 
202827 
20298,027 
203028 
Thereafter4,619 
$12,750