| | | | | | | | | | | | | |
(Millions) | | Currency/ | | Effective | | Final | | Carrying Value | |
Description / 2019 Principal Amount | | Fixed vs. Floating | | Interest Rate | | Maturity Date | | 2019 | | 2018 | |
Medium-term note (repaid in 2019) | | USD Floating | | — | % | 2019 | | $ | — | | $ | 596 | |
Medium-term note (repaid in 2019) | | USD Fixed | | — | % | 2019 | | | — | | | 25 | |
Third lien senior secured notes subject to in-substance defeasance ($445 million) | | USD Fixed | | 12.50 | % | 2020 | | | 463 | | | — | |
Medium-term note (650 million Euros) | | Euro Floating | | — | % | 2020 | | | 726 | | | 743 | |
Medium-term note ($300 million) | | USD Floating | | 2.16 | % | 2020 | | | 299 | | | 294 | |
Medium-term note ($200 million) | | USD Floating | | 1.98 | % | 2020 | | | 200 | | | 197 | |
Eurobond (300 million Euros) | | Euro Floating | | — | % | 2021 | | | 346 | | | 357 | |
Eurobond (300 million Euros) | | Euro Fixed | | 1.97 | % | 2021 | | | 334 | | | 341 | |
Medium-term note ($600 million) | | USD Fixed | | 1.63 | % | 2021 | | | 599 | | | 599 | |
Medium-term note ($200 million) | | USD Fixed | | 3.07 | % | 2021 | | | 199 | | | 199 | |
Medium-term note ($200 million) | | USD Floating | | 1.90 | % | 2021 | | | 204 | | | 201 | |
Medium-term note (500 million Euros) | | Euro Fixed | | 0.45 | % | 2022 | | | 557 | | | 570 | |
Medium-term note ($600 million) | | USD Fixed | | 2.17 | % | 2022 | | | 597 | | | 596 | |
Medium-term note ($450 million) | | USD Fixed | | 2.76 | % | 2022 | | | 449 | | | — | |
Medium-term note (600 million Euros) | | Euro Fixed | | 1.14 | % | 2023 | | | 665 | | | 680 | |
Medium-term note ($650 million) | | USD Fixed | | 2.26 | % | 2023 | | | 648 | | | 648 | |
Registered note ($500 million) | | USD Fixed | | 1.86 | % | 2023 | | | 497 | | | — | |
Medium-term note ($300 million) | | USD Floating | | 2.21 | % | 2024 | | | 299 | | | 299 | |
Medium-term note ($300 million) | | USD Fixed | | 3.30 | % | 2024 | | | 299 | | | 298 | |
Medium-term note ($500 million) | | USD Fixed | | 2.98 | % | 2024 | | | 503 | | | — | |
Medium-term note ($550 million) | | USD Fixed | | 3.04 | % | 2025 | | | 547 | | | 547 | |
Registered note ($750 million) | | USD Fixed | | 2.12 | % | 2025 | | | 743 | | | — | |
Medium-term note (750 million Euros) | | Euro Fixed | | 1.66 | % | 2026 | | | 826 | | | 844 | |
Medium-term note ($650 million) | | USD Fixed | | 2.37 | % | 2026 | | | 643 | | | 642 | |
Medium-term note ($850 million) | | USD Fixed | | 2.95 | % | 2027 | | | 842 | | | 841 | |
30-year debenture ($220 million) | | USD Fixed | | 6.44 | % | 2028 | | | 226 | | | 226 | |
Medium-term note ($600 million) | | USD Fixed | | 3.62 | % | 2028 | | | 597 | | | 597 | |
Medium-term note ($800 million) | | USD Fixed | | 3.38 | % | 2029 | | | 796 | | | — | |
Registered note ($1 billion) | | USD Fixed | | 2.50 | % | 2029 | | | 984 | | | — | |
Medium-term note (500 million Euros) | | Euro Fixed | | 1.90 | % | 2030 | | | 549 | | | 562 | |
Medium-term note (500 million Euros) | | Euro Fixed | | 1.54 | % | 2031 | | | 554 | | | 567 | |
30-year bond ($555 million) | | USD Fixed | | 5.73 | % | 2037 | | | 551 | | | 551 | |
Floating rate note ($96 million) | | USD Floating | | 1.58 | % | 2041 | | | 96 | | | 95 | |
Medium-term note ($325 million) | | USD Fixed | | 4.05 | % | 2044 | | | 314 | | | 314 | |
Floating rate note ($55 million) | | USD Floating | | 1.54 | % | 2044 | | | 53 | | | 53 | |
Medium-term note ($500 million) | | USD Fixed | | 3.37 | % | 2046 | | | 475 | | | 474 | |
Medium-term note ($500 million) | | USD Fixed | | 3.68 | % | 2047 | | | 492 | | | 491 | |
Medium-term note ($650 million) | | USD Fixed | | 4.07 | % | 2048 | | | 637 | | | 637 | |
Medium-term note ($500 million) | | USD Fixed | | 3.78 | % | 2048 | | | 506 | | | — | |
Registered note ($1 billion) | | USD Fixed | | 3.37 | % | 2049 | | | 968 | | | — | |
Other borrowings | | Various | | 1.63 | % | 2020-2040 | | | 76 | | | 72 | |
Total long-term debt | | | | | | | | $ | 19,359 | | $ | 14,156 | |
Less: current portion of long-term debt | | | | | | | | | 1,841 | | | 745 | |
Long-term debt (excluding current portion) | | | | | | | | $ | 17,518 | | $ | 13,411 | |