* Net of the effect of any derivative instruments.
Debt Maturity Schedule
Year
$ Millions
% of Total
2005 (1)(2)
$
818
12.7
%
2006 (3)
492
7.6
2007
449
7.0
2008
627
9.7
2009
838
13.0
2010
232
3.6
2011
718
11.1
2012
454
2013
415
6.4
2014+
1,417
21.9
Total
6,460
100.0