v3.25.4
Loans Payable, Long-Term Debt and Leases (Tables)
12 Months Ended
Dec. 31, 2025
Debt Disclosure [Abstract]  
Schedule of Long-term Debt
Long-term debt at December 31 consisted of:
20252024
2.15% notes due 2031
$1,991 $1,989 
2.75% notes due 2051
1,981 1,980 
3.70% notes due 2045
1,981 1,980 
3.40% notes due 2029
1,744 1,742 
4.95% notes due 2035
1,739 — 
4.50% notes due 2033
1,553 1,509 
1.70% notes due 2027
1,498 1,497 
5.00% notes due 2053
1,492 1,482 
4.75% notes due 2035
1,486 — 
2.90% notes due 2061
1,485 1,484 
5.55% notes due 2055
1,477 — 
4.00% notes due 2049
1,475 1,474 
1.45% notes due 2030
1,242 1,240 
4.15% notes due 2043
1,241 1,240 
5.70% notes due 2055
1,235 — 
2.45% notes due 2050
1,217 1,216 
1.90% notes due 2028
997 996 
4.55% notes due 2032
995 — 
4.45% notes due 2032
994 — 
4.15% notes due 2031
994 — 
3.25% euro-denominated notes due 2032
993 880 
3.50% euro-denominated notes due 2037
990 877 
5.15% notes due 2063
988 987 
3.90% notes due 2039
988 987 
3.70% euro-denominated notes due 2044
988 876 
2.35% notes due 2040
987 986 
3.75% euro-denominated notes due 2054
985 873 
5.70% notes due 2065
984 — 
4.30% notes due 2030
747 746 
3.85% notes due 2027
747 — 
3.85% notes due 2029
746 — 
4.15% notes due 2030
745 — 
5.50% notes due 2046
742 — 
4.90% notes due 2044
740 740 
6.50% notes due 2033
698 702 
1.375% euro-denominated notes due 2036
583 517 
2.50% euro-denominated notes due 2034
583 517 
4.05% notes due 2028
499 498 
Floating rate notes due 2027 (1)
499 — 
Floating rate notes due 2029 (2)
498 — 
3.60% notes due 2042
493 492 
6.55% notes due 2037
402 404 
5.75% notes due 2036
339 339 
5.95% debentures due 2028
308 307 
5.85% notes due 2039
271 271 
6.40% debentures due 2028
251 251 
1.875% euro-denominated notes due 2026
 1,041 
0.75% notes due 2026
 998 
6.30% debentures due 2026
 135 
Other139 209 
$46,750 $34,462 
(1)    Floating rate is compounded SOFR plus 46 bps, which at December 31, 2025 was 4.16%.
(2)    Floating rate is compounded SOFR plus 57 bps, which at December 31, 2025 was 4.35%.
Schedule of Supplemental Balance Sheet Information
Supplemental balance sheet information related to operating leases is as follows:
December 3120252024
Assets
Other Assets (1)
$1,507 $1,370 
Liabilities
Accrued and other current liabilities294 282 
Other Noncurrent Liabilities901 877 
$1,195 $1,159 
Weighted-average remaining lease term (years)7.06.0
Weighted-average discount rate3.5 %3.2 %
(1)    Includes prepaid leases that have no related lease liability.
Schedule of Maturities of Operating Lease Liabilities
Maturities of operating leases liabilities are as follows:
2026$335 
2027261 
2028204 
2029125 
2030103 
Thereafter415 
Total lease payments1,443 
Less: Imputed interest248 
$1,195