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EQUITY (Tables)
3 Months Ended
Mar. 31, 2022
Equity [Abstract]  
Schedule of Stock by Class
The following table summarizes changes in equity for the three months ended March 31, 2022:
Common StockCapital in Excess of Par Value of StockAccumulated Other Comprehensive LossRetained EarningsTreasury StockNoncontrolling Interest
Dollars and Shares in MillionsSharesPar ValueSharesCost
Balance at December 31, 20212,923 $292 $44,361 $(1,268)$23,820 747 $(31,259)$60 
Net Earnings— — — — 1,278 — — 
Other Comprehensive Income— — — 39 — — — — 
Cash dividends declared(a)
— — — — (1,150)— — — 
Share repurchase program— — (750)— — 65 (4,250)— 
Stock compensation— — 145 — — (18)322 — 
Balance at March 31, 20222,923 $292 $43,756 $(1,229)$23,948 794 $(35,187)$65 
(a)    Cash dividends declared per common share were $0.54 for the three months ended March 31, 2022.

The following table summarizes changes in equity for the three months ended March 31, 2021:
Common StockCapital in Excess of Par Value of StockAccumulated Other Comprehensive LossRetained EarningsTreasury StockNoncontrolling Interest
Dollars and Shares in MillionsSharesPar ValueSharesCost
Balance at December 31, 20202,923 $292 $44,325 $(1,839)$21,281 679 $(26,237)$60 
Net Earnings— — — — 2,021 — — 
Other Comprehensive Income— — — 295 — — — — 
Cash dividends declared(a)
— — — — (1,098)— — — 
Share repurchase program— — — — — 28 (1,768)— 
Stock compensation— — (473)— — (15)806 — 
Balance at March 31, 20212,923 $292 $43,852 $(1,544)$22,204 692 $(27,199)$68 
(a)    Cash dividends declared per common share were $0.49 for the three months ended March 31, 2021.
Schedule of Comprehensive Income Loss
The components of Other Comprehensive Income were as follows:
20222021
Dollars in MillionsPretaxTaxAfter TaxPretaxTaxAfter Tax
Three Months Ended March 31,
Derivatives qualifying as cash flow hedges:
Unrealized gains/(losses)$120 $(16)$104 $259 $(11)$248 
Reclassified to net earnings(a)
(85)12 (73)36 (4)32 
Derivatives qualifying as cash flow hedges35 (4)31 295 (15)280 
Pension and postretirement benefits:
Actuarial losses20 (4)16 21 (5)16 
Amortization(b)
(2)(3)
Settlements(b)
— — 
Pension and postretirement benefits27 (6)21 31 (8)23 
Marketable debt securities:
Unrealized (losses)/gains(2)(1)(3)(2)
Foreign currency translation(6)(6)(12)(15)(6)
Other Comprehensive Income$54 $(15)$39 $332 $(37)$295 
(a)Included in Cost of products sold.
(b)Included in Other (income)/expense, net.
Schedule of Accumulated Other Comprehensive Income Loss
The accumulated balances related to each component of Other Comprehensive Income, net of taxes, were as follows:
Dollars in MillionsMarch 31,
2022
December 31,
2021
Derivatives qualifying as cash flow hedges$209 $178 
Pension and postretirement benefits(747)(768)
Marketable debt securities
Foreign currency translation(692)(680)
Accumulated other comprehensive loss$(1,229)$(1,268)