v3.26.1
Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2026
Fair Value Disclosures [Abstract]  
Schedule of fair value, assets and liabilities measured on recurring basis
Assets and liabilities measured at fair value on a recurring basis consisted of the following:
Fair Value
(In millions)ClassificationFair Value Hierarchy June 30,
2026
December 31, 2025
Assets
Cross-currency rate swap contracts designated as net investment hedgesOther long-term assetsLevel 2$$— 
Deferred consideration on sale of merchant cash advancesPrepaid expenses and other current assetsLevel 314 — 
Liabilities
Cross-currency rate swap contracts designated as net investment hedgesAccounts payable and other current liabilitiesLevel 2$24 $29 
Cross-currency rate swap contracts designated as net investment hedgesOther long-term liabilitiesLevel 272 81 
Forward exchange contracts designated as cash flow hedgesAccounts payable and other current liabilitiesLevel 213 10 
Forward exchange contracts designated as cash flow hedgesOther long-term liabilitiesLevel 2
Fixed-to-floating interest rate swap contracts designated as fair value hedgesOther long-term liabilitiesLevel 222 — 
Contingent considerationAccounts payable and other current liabilitiesLevel 313 
Contingent considerationOther long-term liabilitiesLevel 322 29 
Contingent debt guaranteeAccounts payable and other current liabilitiesLevel 3— 
Contingent debt guaranteeOther long-term liabilitiesLevel 3—