Quarterly report pursuant to Section 13 or 15(d)

DEBT AND BORROWING ARRANGEMENTS (Tables)

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DEBT AND BORROWING ARRANGEMENTS (Tables)
6 Months Ended
Jul. 02, 2021
Debt Disclosure [Abstract]  
Schedule of debt issuance The general terms of the notes issued are as follows (in millions, except fixed interest rate data):
Total Principal Amount Fixed Interest Rate
U.S. dollar notes due March 5, 2028 $ 750  1.500  %
Euro notes due March 9, 2029 700  0.125 
Euro notes due May 6, 2030 650  0.400 
U.S. dollar notes due March 5, 2031 $ 750  2.000 
U.S. dollar notes due January 5, 2032 $ 2,000  2.250 
Euro notes due March 9, 2033 650  0.500 
Euro notes due May 6, 2036 500  0.950 
Euro notes due March 9, 2041 650  1.000 
U.S. dollar notes due May 5, 2041 $ 750  2.875 
U.S. dollar notes due March 5, 2051 $ 1,700  3.000 
Schedule of debt extinguishment The general terms of the notes that were extinguished are as follows (in millions, except fixed interest rate data):
Total Principal Amount Fixed Interest Rate
Euro notes due March 9, 2023 1,500  0.750  %
U.S. dollar notes due April 1, 2023 $ 750  2.500 
U.S. dollar notes due November 1, 2023 $ 1,500  3.200 
U.S. dollar notes due March 25, 2025 $ 1,000  2.950 
U.S. dollar notes due October 27, 2025 $ 1,750  2.875 
U.S. dollar notes due June 1, 2026 $ 500  2.550 
U.S. dollar notes due September 1, 2026 $ 1,000  2.250 
Euro notes due September 22, 2026 587  0.750 
Euro notes due September 22, 2026 343  1.875