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At December 31, 2022
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Actual
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As Adjusted
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(in millions, except
share and per share amounts) |
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Cash and cash equivalents
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| | | $ | 6,964 | | | | | $ | | | |
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Cash of consolidated investment entities(a)
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| | | | 133 | | | | | | 133 | | |
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Consolidated cash and cash equivalents
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| | | | 7,097 | | | | | | | | |
| Long-Term Debt (including current maturities of long-term debt): | | | | | | | | | | | | | |
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4.00% senior notes due 2023
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| | | | 750 | | | | | | | | |
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3.70% senior notes due 2024
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| | | | 550 | | | | | | 550 | | |
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3.00% senior notes due 2025
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| | | | 500 | | | | | | 500 | | |
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2.875% senior notes due 2026
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| | | | 500 | | | | | | 500 | | |
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4.500% senior notes due 2032
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| | | | 500 | | | | | | 500 | | |
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% senior notes due 20 offered hereby
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| | | | — | | | | | | | | |
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Finance lease obligations
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| | | | 30 | | | | | | 30 | | |
| Other(b) | | | | | (9) | | | | | | | | |
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Debt of consolidated investment entities, at fair value(a)
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| | | | 2,363 | | | | | | 2,363 | | |
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Total long-term debt
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| | | | 5,184 | | | | | | | | |
| Equity: | | | | | | | | | | | | | |
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Common shares ($0.01 par value; shares authorized 1,250,000,000; shares issued 335,864,062)
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| | | | 3 | | | | | | 3 | | |
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Additional paid-in capital
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| | | | 9,517 | | | | | | 9,517 | | |
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Retained earnings
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| | | | 19,531 | | | | | | 19,531 | | |
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Treasury shares, at cost (230,585,072 shares)
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| | | | (23,089) | | | | | | (23,089) | | |
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Accumulated other comprehensive income, net of tax
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| | | | (2,349) | | | | | | (2,349) | | |
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Total equity
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| | | | 3,613 | | | | | | 3,613 | | |
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Total capitalization(c)
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| | | $ | 8,797 | | | | | $ | | | |
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Underwriters
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Principal
Amount of Notes |
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Goldman Sachs & Co. LLC
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| | | $ | | | |
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J.P. Morgan Securities LLC
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Wells Fargo Securities, LLC
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BofA Securities, Inc.
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Citigroup Global Markets Inc.
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Total
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| | | $ | | | |
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Per note
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Total
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| | | $ | | |
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| EXPERTS | | | | |
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