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Condensed Consolidated Statement of Cash Flows Consolidated Statements of Cash Flows - USD ($)
$ in Millions
6 Months Ended
Jun. 30, 2020
Jun. 30, 2019
Cash flows - operation activities:    
Net loss $ (3,036) $ (793)
Non-cash items -    
Share-based plans expense 115 104
Depreciation and amortization 1,103 1,067
Investment/asset impairment charges, net 280 70
Customer financing valuation adjustments 9 249
Gain on dispositions, net (92) (300)
Other charges and credits, net 815 145
Changes in assets and liabilities -    
Accounts receivable 143 588
Unbilled receivables 285 (222)
Advances and progress billings 1,822 1,842
Inventories 6,741 5,233
Other current assets 433 (887)
Accounts payable (3,181) 2,002
Accrued liabilities 514 4,959
Income taxes receivable, payable and deferred (1,894) (921)
Other long-term liabilities (109) (509)
Pension and other postretirement plans (357) (390)
Customer financing, net 62 347
Other 247 80
Net cash (used)/provided by operating activities (9,582) 2,198
Cash flows - investing activities:    
Property, plant and equipment additions (776) (922)
Property, plant and equipment reductions 96 331
Acquisitions, net of cash acquired (492)
Contributions to investments (12,557) (496)
Proceeds from investments 543 758
Payments to Acquire Intangible Assets 20
Other 8 (12)
Net cash used by investing activities (12,686) (853)
Cash flows - financing activities:    
New borrowings 42,302 11,670
Debt repayments (8,265) (6,422)
Contributions from noncontrolling interests 7
Stock options exercised 27 47
Employee taxes on certain share-based payment arrangements (164) (238)
Common shares repurchased (2,651)
Dividends paid (1,158) (2,317)
Net cash provided by financing activities 32,742 96
Effect of exchange rate changes on cash and cash equivalents, including restricted (11) (2)
Net increase in cash & cash equivalents, including restricted 10,463 1,439
Cash & cash equivalents, including restricted, at beginning of year 9,571 7,813
Cash & cash equivalents, including restricted, at end of period 20,034 9,252
Restricted Cash and Cash Equivalents (42) [1] (85)
Cash and cash equivalents at end of period $ 19,992 $ 9,167
[1]
(2) 
Reflects amounts restricted in support of our workers’ compensation programs, employee benefit programs, and insurance premiums.