Quarterly report [Sections 13 or 15(d)]

Note 8 - Debt (Tables)

v3.26.1
Note 8 - Debt (Tables)
3 Months Ended
Mar. 31, 2026
Notes Tables  
Schedule of Debt [Table Text Block]
   

March 31,

   

December 31,

 
   

2026

   

2025

 

Senior credit facilities:

               

Revolving credit facility

  $ 367     $ 343  

Senior notes

    1,489       1,488  

Amounts outstanding under A/R programs

    173       152  

Variable interest entities

    5       7  

Other

    22       21  

Total debt

  $ 2,056     $ 2,011  

Current portion of debt

  $ 376     $ 353  

Long-term portion of debt

    1,680       1,658  

Total debt

  $ 2,056     $ 2,011  
Schedule of Line of Credit Facilities [Table Text Block]

Facility

 

Committed amount

   

Amount outstanding

     

Maturity

2026 Revolving Credit Facility

  $ 800     $ 367   (1)  

February 2031

Schedule of Notes Outstanding [Table Text Block]
        Unamortized premiums,              
        discounts and              

Notes

 

Amount outstanding

 

debt issuance costs

   

Interest rate

 

Maturity

 

2029 Senior notes

 

$750 ($745 carrying value)

  $ 5    

4.50%

    May 2029  

2031 Senior notes

 

$400 ($398 carrying value)

    2    

2.95%

    June 2031  

2034 Senior notes

 

$350 ($346 carrying value)

    4    

5.70%

    October 2034  
Schedule of Accounts Receivable Programs [Table Text Block]
   

Maximum funding

   

Amount

         

Facility

 

availability(1)

   

outstanding

   

Interest rate(2)

 

Maturity

U.S. A/R Program

  $ 180     $ 87  

(3)

Applicable rate plus 0.85%

 

December 2028

EU A/R Program

  100     75    

Applicable rate plus 1.45%

 

July 2027

   

(or approximately $115)

   

(or approximately $86)