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Other Financial Information (Details) - USD ($)
$ in Millions
Jun. 30, 2020
Dec. 31, 2019
Jun. 30, 2019
Dec. 31, 2018
Accounts Receivable, after Allowance for Credit Loss [Abstract]        
Trade and other accounts receivable $ 1,029 $ 1,124    
Allowance for expected credit losses (19) (9)    
Total trade accounts receivable, net 1,010 1,115    
Inventory Disclosure [Abstract]        
Raw materials 271 215    
WIP 7 8    
Finished goods 492 447    
Total 747 654    
Inventory, Gross 770 670    
Inventory Valuation Reserves 23 16    
Prepaid expenses and other current assets:        
Other receivables 58 65    
Customer incentive programs 87 12    
Derivative instruments 14 31    
Prepaid marketing 26 17    
Spare parts 50 49    
Assets held for sale(1) [1] 3 165    
Income tax receivable 7 4    
Other 61 60    
Prepaid expenses and other current assets 306 403    
Other non-current assets:        
Customer incentive programs 75 33    
Marketable securities - trading [2] 37 40    
Operating lease right-of-use assets 592 497    
Derivative instruments 12 19    
Equity securities without readily determinable fair values 1 1    
Non-current restricted cash and restricted cash equivalents 0 10    
Related party notes receivable [3] 0 50    
Other 114 98    
Total other non-current assets 831 748    
Accrued expenses:        
Customer rebates & incentives 324 362    
Accrued compensation 167 183    
Insurance reserve 53 39    
Interest accrual 60 54    
Accrued professional fees 25 31    
Other accrued expenses 311 270    
Total accrued expenses 940 939    
Other current liabilities:        
Dividends payable 212 212    
Income taxes payable 135 75    
Operating lease liability 74 69    
Finance lease liability 41 41    
Derivative instruments 47 12    
Holdback liabilities 25 25    
Other 9 11    
Total other current liabilities 543 445    
Other non-current liabilities:        
Long-term pension and postretirement liability 28 29    
Insurance reserves 72 66    
Operating lease liability 522 427    
Finance lease liability 264 269    
Derivative instruments 22 4    
Deferred compensation liability 37 40    
Other 89 95    
Other non-current liabilities 1,034 930    
Other Financial Information [Line Items]        
Cash and Cash Equivalents, at Carrying Value 149 75    
Restricted cash and restricted cash equivalents [4] 28 26    
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents 177 111 $ 160 $ 139
Suppliers Utilizing Third Party Services        
Other Financial Information [Line Items]        
Accounts payable $ 2,487 $ 2,097    
[1]
The decrease in assets held for sale was due to the assets included in sale-leaseback transactions that closed during the period. Refer to Note 8 for additional information about the transactions. The remaining amounts were comprised of property, plant and equipment expected to be sold within the next twelve months.
[2]
Fair values of marketable securities are determined using quoted market prices from daily exchange traded markets, based on the closing price as of the balance sheet date, and are classified as Level 1. The fair value of marketable securities was $37 million and $40 million as of June 30, 2020 and December 31, 2019, respectively.
[3]
Refer to Note 4 for additional information.
[4]
Restricted cash and cash equivalents primarily represent amounts held in escrow in connection with the Core Acquisition, the Bai Acquisition and the Big Red Acquisition. Amounts held in escrow are expected to be released within one year.