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FAIR VALUE MEASUREMENTS (Recognized Assets and Liabilities at Fair Value) (Details) - USD ($)
$ in Millions
Dec. 31, 2024
Jun. 30, 2024
Dec. 31, 2023
Dec. 31, 2022
Assets:        
Available-for-sale debt securities $ 0   $ 2  
Liabilities:        
Contingent consideration   $ 6 88 $ 18
Recurring Basis        
Assets:        
Deferred compensation trading securities 72   70  
Cash surrender value of life insurance policies 64   55  
Available-for-sale debt securities     2  
Total 136   127  
Liabilities:        
Deferred compensation liabilities 140   131  
Contingent consideration 106   104  
Fixed-to-variable interest rate swaps 34      
Total 280   235  
Redeemable noncontrolling interest 83   76  
Recurring Basis | Level 1        
Assets:        
Deferred compensation trading securities 72   70  
Cash surrender value of life insurance policies 0   0  
Available-for-sale debt securities     0  
Total 72   70  
Liabilities:        
Deferred compensation liabilities 0   0  
Contingent consideration 0   0  
Fixed-to-variable interest rate swaps 0      
Total 0   0  
Redeemable noncontrolling interest 0   0  
Recurring Basis | Level 2        
Assets:        
Deferred compensation trading securities 0   0  
Cash surrender value of life insurance policies 64   55  
Available-for-sale debt securities     0  
Total 64   55  
Liabilities:        
Deferred compensation liabilities 140   131  
Contingent consideration 0   0  
Fixed-to-variable interest rate swaps 34      
Total 174   131  
Recurring Basis | Level 3        
Assets:        
Deferred compensation trading securities 0   0  
Cash surrender value of life insurance policies 0   0  
Available-for-sale debt securities     2  
Total 0   2  
Liabilities:        
Deferred compensation liabilities 0   0  
Contingent consideration 106   104  
Fixed-to-variable interest rate swaps 0      
Total 106   104  
Redeemable noncontrolling interest $ 83   $ 76