Quarterly report [Sections 13 or 15(d)]

Debt - Schedule of Long-term Debt Instruments (Details)

v3.26.1
Debt - Schedule of Long-term Debt Instruments (Details) - USD ($)
3 Months Ended
Mar. 29, 2026
Mar. 05, 2026
Mar. 31, 2026
Mar. 31, 2025
Dec. 31, 2025
Mar. 10, 2023
Debt            
Total     $ 4,000,000   $ 5,000,000  
Total debt     9,760,000,000   9,717,000,000  
Less: total current maturities     59,000,000   1,058,000,000  
Less: total deferred financing costs, net     13,000,000   11,000,000  
Total long-term debt     9,688,000,000   8,648,000,000  
Gain (loss) on extinguishment of debt     $ 1,000,000 $ 0    
Senior Notes | 3.75% Convertible Senior Notes            
Debt            
Stated interest rate (as a percent)     3.75%     3.75%
Principal amount     $ 575,000,000     $ 575,000,000
Carrying value     $ 597,000,000   579,000,000  
Senior Notes | 3.125% Senior Notes Due 2026            
Debt            
Stated interest rate (as a percent)   3.125% 3.125%      
Principal amount     $ 0      
Carrying value     0   999,000,000  
Debt instrument, repurchase amount   $ 997,000,000        
Debt instrument, repurchased face amount   1,000,000,000        
Debt instrument, unamortized discount   3,000,000        
Interest payable   1,000,000        
Gain (loss) on extinguishment of debt     $ 2,000,000      
Extinguishment of debt, amount   $ 499,000,000        
Senior Notes | 5.00% Senior Notes Due 2027            
Debt            
Stated interest rate (as a percent) 5.00%   5.00%      
Principal amount     $ 1,250,000,000      
Carrying value     $ 1,248,000,000   1,497,000,000  
Gain (loss) on extinguishment of debt $ (1,000,000)          
Extinguishment of debt, amount 250,000,000          
Payment for debt extinguishment or debt prepayment cost $ 252,000,000          
Senior Notes | 4.00% Senior Notes Due 2028            
Debt            
Stated interest rate (as a percent)     4.00%      
Principal amount     $ 2,000,000,000      
Carrying value     $ 1,992,000,000   1,991,000,000  
Senior Notes | 5.500% Senior Notes Due 2029            
Debt            
Stated interest rate (as a percent)     5.50%      
Principal amount     $ 1,250,000,000      
Carrying value     $ 1,245,000,000   1,244,000,000  
Senior Notes | 4.125% Senior Notes Due 2030            
Debt            
Stated interest rate (as a percent)     4.125%      
Principal amount     $ 1,500,000,000      
Carrying value     $ 1,492,000,000   1,492,000,000  
Senior Notes | 3.875% Senior Notes Due 2031            
Debt            
Stated interest rate (as a percent)     3.875%      
Principal amount     $ 1,500,000,000      
Carrying value     $ 1,490,000,000   1,490,000,000  
Senior Notes | 5.875% Senior Notes Due 2032            
Debt            
Stated interest rate (as a percent)   5.875% 5.875%      
Principal amount   $ 1,250,000,000 $ 1,250,000,000      
Carrying value     1,236,000,000   0  
Deferred financing costs   $ 18,000,000        
Line of Credit | Incremental Term Loan, September 2024            
Debt            
Principal amount     386,000,000      
Carrying value     386,000,000   400,000,000  
Line of Credit | Senior Secured Revolving Credit Facility (the "Credit Facility")            
Debt            
Principal amount     70,000,000      
Carrying value     $ 70,000,000   $ 20,000,000