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CHARGES ASSOCIATED WITH RESTRUCTURING AND OTHER ACTIVITIES - Accrued Restructuring Charges (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended 12 Months Ended
Dec. 31, 2024
Sep. 30, 2024
Dec. 31, 2023
Dec. 31, 2024
Dec. 31, 2023
Jun. 30, 2024
Restructuring Reserve [Roll Forward]            
Charges $ 181   $ 8 $ 287 $ 10  
Restructuring Program            
Restructuring Reserve [Roll Forward]            
Charges 171 $ 85   256   $ 92
Restructuring Program | Restructuring Charges            
Restructuring Reserve [Roll Forward]            
Beginning balance   88   88    
Cash payments       (28)    
Non-cash asset write-offs       (7)    
Translation and other adjustments       (8)    
Ending balance 301     301   88
Employee- Related Costs | Restructuring Program            
Restructuring Reserve [Roll Forward]            
Beginning balance   88   88    
Charges 165 82   247   90
Cash payments       (26)    
Non-cash asset write-offs       0    
Translation and other adjustments       (8)    
Ending balance 301     301   88
Asset- Related Costs | Restructuring Program            
Restructuring Reserve [Roll Forward]            
Beginning balance   0   0    
Charges 5 2   7   2
Cash payments       0    
Non-cash asset write-offs       (7)    
Translation and other adjustments       0    
Ending balance 0     0   0
Contract Terminations | Restructuring Program            
Restructuring Reserve [Roll Forward]            
Beginning balance   0   0    
Charges 0 0   0   0
Cash payments       0    
Non-cash asset write-offs       0    
Translation and other adjustments       0    
Ending balance 0     0   0
Other Exit Costs | Restructuring Program            
Restructuring Reserve [Roll Forward]            
Beginning balance   0   0    
Charges 1 $ 1   2   0
Cash payments       (2)    
Non-cash asset write-offs       0    
Translation and other adjustments       0    
Ending balance $ 0     $ 0   $ 0