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DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Tables)
9 Months Ended
Sep. 30, 2019
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Summary of Gains and Losses on Derivative Instruments
The following tables summarize the income statement locations and gains and losses on our hedging instruments for the three months ended September 30, 2019 and 2018.
Gain (loss) recognized in OCILocation of gain (loss)
in income statement
Gain (loss) reclassified from AOCI into income
(in millions)2019201820192018
Cash flow hedges
Interest rate contracts$(57) $—  Interest expense, net$—  $—  
Foreign exchange contracts  Cost of sales (1) 
Net investment hedges96   Other income, net—  —  
Total$43  $ $ $(1) 

Location of gain (loss) in income statementGain (loss) recognized in income
As Restated
(in millions)20192018
Undesignated derivative instruments
Foreign exchange contractsOther income, net$(4) $ 
The following tables summarize the income statement locations and gains and losses on our hedging instruments for the nine months ended September 30, 2019 and 2018.
Gain (loss) recognized in OCILocation of gain (loss)
in income statement
Gain (loss) reclassified from AOCI
into income
(in millions)2019201820192018
Cash flow hedges
Interest rate contracts$(91) $—  Interest expense, net$—  $—  
Foreign exchange contracts  Cost of sales (11) 
Net investment hedges74  22  Other income, net—  —  
Total$(13) $23  $ $(11) 
Location of gain (loss)
in income statement
Gain (loss) recognized in income
As Restated
(in millions)20192018
Fair value hedges
Interest rate contractsInterest expense, net$—  $(4) 
Undesignated derivative instruments
Foreign exchange contractsOther income, net$(16) $ 
Classification and Fair Values of Derivative Instruments
The following table summarizes the classification and fair values of derivative instruments reported in the condensed consolidated balance sheet as of September 30, 2019.
Derivatives in asset positionsDerivatives in liability positions
(in millions)Balance sheet locationFair valueBalance sheet locationFair value
Derivative instruments designated as hedges
Interest rate contractsOther non-current assets$ Other non-current liabilities$95  
Foreign exchange contractsPrepaid expenses and other current assets24  Accounts payable and accrued liabilities 
Foreign exchange contractsOther non-current assets Other non-current liabilities—  
Total derivative instruments designated as hedges27  96  
Undesignated derivative instruments
Foreign exchange contractsPrepaid expenses and other current assets—  Accounts payable and accrued liabilities—  
Total derivative instruments$27  $96  
The following table summarizes the classification and fair values of derivative instruments reported in the condensed consolidated balance sheet as of December 31, 2018.
Derivatives in asset positionsDerivatives in liability positions
As RestatedAs Restated
(in millions)Balance sheet locationFair valueBalance sheet locationFair value
Derivative instruments designated as hedges
Interest rate contractsOther non-current assets$—  Other non-current liabilities$ 
Foreign exchange contractsPrepaid expenses and other current assets22  Accounts payable and accrued liabilities 
Foreign exchange contractsOther non-current assets Other non-current liabilities—  
Total derivative instruments designated as hedges23   
Undesignated derivative instruments
Foreign exchange contractsPrepaid expenses and other current assets Accounts payable and accrued liabilities 
Total derivative instruments$25  $ 
Derivative Positions Presented On Net Basis
The following table provides information on our derivative positions as if they were presented on a net basis, allowing for the right of offset by counterparty.
20192018
As Restated
(in millions)AssetLiabilityAssetLiability
Gross amounts recognized in the consolidated balance sheet$27  $96  $25  $ 
Gross amount subject to offset in master netting arrangements not offset in the consolidated balance sheet(2) (2) (3) (3) 
Total$25  $94  $22  $ 
Amounts Recorded on Condensed Consolidated Balance Sheet Related to Fair Value Hedges
The following table presents the amounts recorded on the condensed consolidated balance sheet related to fair value hedges:
Carrying amount of hedged itemCumulative amount of fair value hedging adjustment included in the carrying amount of the hedged item (a)
(in millions)Balance as of September 30, 2019Balance as of December 31, 2018Balance as of September 30, 2019Balance as of December 31, 2018
Long-term debt$103  $103  $ $ 
(a) These fair value hedges were terminated prior to December 31, 2018.