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EQUITY (Other Comprehensive Income/(Loss)) (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2013
Jun. 30, 2012
Jun. 30, 2013
Jun. 30, 2012
Dec. 31, 2012
Other Comprehensive Income (Loss), before Tax [Abstract]          
Derivatives qualifying as cash flow hedges - Unrealized gains, Pre-tax $ 30 $ 30 $ 99 $ 44  
Derivatives qualifying as cash flow hedges - Reclassified to net earnings, Pre-tax (34) (13) (44) (21)  
Derivatives qualifying as cash flow hedges, Pre-tax (4) 17 55 23  
Pension and postretirement benefits - Actuarial gains/(losses), Pre-tax 935   935 19  
Pension and postretirement benefits - Amortization, Pre-tax 38 33 76 69  
Pension and postretirement benefits - Settlement, Pre-Tax 101   101    
Pension and postretirement benefits, Pre-tax 1,074 33 1,112 88  
Available for sale securities - Unrealized gains/(losses), Pre-tax (54) 18 (51) 8  
Available for sale securities - Realized gains/(losses), Pre-tax (8)   (8) (10)  
Available for sale securities, Pre-tax (62) 18 (59) (2)  
Foreign currency translation, Pre-tax (20) (37) (39) (22)  
Foreign currency translation on net investment hedges, Pre-tax (13) 41 5 29  
Other Comprehensive Income/(Loss), Pre-tax 975 72 1,074 116  
Other Comprehensive Income (Loss), Tax, Parenthetical Disclosures [Abstract]          
Derivatives qualifying as cash flow hedges - Unrealized gains, Tax (10) (8) (33) (17)  
Derivatives qualifying as cash flow hedges - Reclassified to net earnings, Tax 11 4 16 6  
Derivatives qualifying as cash flow hedges, Tax 1 (4) (17) (11)  
Pension and postretirement benefits - Actuarial gains/(losses), Tax (330)   (330) (5)  
Pension and postretirement benefits - Amortization, Tax (12) (11) (23) (23)  
Pension and postretirement benefits - Settlements, Tax (35)   (35)    
Pension and postretirement benefits, Tax (377) (11) (388) (28)  
Available for sale securities - Unrealized gains/(losses), Tax 9 (8) 10 (1)  
Available for sale securities - Realized gains/(losses), Tax 3 2 3 2  
Available for sale securities, Tax 12 (6) 13 1  
Other comprehensive income/(loss), Tax (364) (21) (392) (38)  
Other Comprehensive Income (Loss), Net of Tax [Abstract]          
Derivatives qualifying as cash flow hedges - Unrealized gains, After tax 20 22 66 27  
Derivatives qualifying as cash flow hedges - Reclassified to net earnings, After tax (23) (9) (28) (15)  
Derivatives qualifying as cash flow hedges, After tax (3) 13 38 12  
Pension and postretirement benefits - Actuarial gains/(losses), After tax 605   605 14  
Pension and postretirement benefits - Amortization, After tax 26 22 53 46  
Pension and postretirement benefits - Settlements, After tax 66   66    
Pension and postretirement benefits 697 22 724 60  
Available for sale securities - Unrealized gains/(losses), After tax (45) 10 (41) 7  
Available for sale securities - Realized gains/(losses), After tax (5) 2 (5) (8)  
Available for sale securities, After tax (50) 12 (46) (1)  
Foreign currency translation, After-tax (20) (37) (39) (22)  
Foreign currency translation on net investment hedges, After tax (13) 41 5 29  
Other Comprehensive Income/(Loss) 611 51 682 78  
Derivatives qualifying as cash flow hedges 47   47   9
Pension and postretirement benefits (2,299)   (2,299)   (3,023)
Available for sale securities 19   19   65
Foreign currency translation (287)   (287)   (253)
Accumulated other comprehensive loss $ (2,520)   $ (2,520)   $ (3,202)