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Accumulated Other Comprehensive Earnings/(Losses) (Tables)
9 Months Ended
Sep. 30, 2025
Equity [Abstract]  
Schedule of Amounts Reclassified from Accumulated Other Comprehensive Earnings/(Losses)
The following table summarizes the changes in accumulated balances of each component of accumulated other comprehensive earnings/(losses) attributable to Mondelēz International. Amounts reclassified from accumulated other comprehensive earnings/(losses) to net earnings (net of tax) were net losses of $(60) million and $(71) million in the third quarter of 2025 and 2024, respectively, and $(391) million and $(50) million in the first nine months of 2025 and 2024, respectively.
For the Three Months Ended
September 30,
For the Nine Months Ended
September 30,
2025202420252024
(in millions)
Currency Translation Adjustments:
Balance at beginning of period$(10,149)$(10,177)$(11,017)$(9,574)
Currency translation adjustments(60)(18)763 (608)
Tax effect
(20)18 49 (3)
Other comprehensive earnings/(losses)(80)— 812 (611)
less: other comprehensive (earnings)/loss attributable to noncontrolling interests
(10)(23)(2)
Balance at end of period(10,228)(10,187)(10,228)(10,187)
Pension and Other Benefit Plans:
Balance at beginning of period$(1,343)$(1,277)$(1,402)$(1,323)
Net actuarial gain/(loss) arising during period14 — (37)(6)
Tax effect on net actuarial gain/(loss)
85 — 98 
Losses/(gains) reclassified into net earnings:
Amortization of net loss and prior service (1)
13 14 44 40 
Settlement losses (1)
54 346 
Tax expense/(benefit) on reclassifications (3)
(17)(3)(99)(11)
Currency impact20 (66)(124)(39)
Other comprehensive earnings/(losses)169 (52)228 (6)
Balance at end of period(1,174)(1,329)(1,174)(1,329)
Derivative Cash Flow Hedges:
Balance at beginning of period$(69)$(61)$(52)$(49)
   Interest rate contracts gains/(losses)
(2)(1)(9)
   Cross-currency swap contracts gains/(losses)
(9)(57)(95)(17)
   Other derivative gains/(losses)
(2)(7)(6)
Tax effect on net derivative gain/(loss)
— — 
Losses/(gains) reclassified into net earnings:
Interest rate contracts (2)
Cross-currency swap contracts (2)
11 51 90 (2)
Other derivative contracts (2)
— — — 
Tax expense/(benefit) on reclassifications (3)
(2)
Currency impact(1)(7)— 
Other comprehensive earnings/(losses)(2)(10)(14)
Balance at end of period(62)(63)(62)(63)
Accumulated other comprehensive losses attributable to Mondelēz International:
Balance at beginning of period$(11,561)$(11,515)$(12,471)$(10,946)
Total other comprehensive earnings/(losses)96 (54)1,030 (631)
less: other comprehensive (earnings)/loss attributable to noncontrolling interests
(10)(23)(2)
Other comprehensive earnings/(losses) attributable to Mondelēz International97 (64)1,007 (633)
Balance at end of period$(11,464)$(11,579)$(11,464)$(11,579)

(1)These reclassified losses are included in net periodic benefit costs disclosed in Note 9, Benefit Plans.
(2)These reclassified gains or losses are recorded within interest and other expense, net.
(3)Taxes reclassified to earnings are recorded within the provision for income taxes.