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EQUITY - Schedule of Comprehensive Income (Loss) (Details) - USD ($)
$ in Millions
3 Months Ended 9 Months Ended
Sep. 30, 2025
Jun. 30, 2025
Mar. 31, 2025
Sep. 30, 2024
Jun. 30, 2024
Mar. 31, 2024
Sep. 30, 2025
Sep. 30, 2024
Derivatives qualifying as cash flow hedges:                
Derivatives qualifying as cash flow hedges, after tax $ 48     $ (178)     $ (395) $ 67
Pension and postretirement benefits                
Pension and postretirement benefits, after tax 19     100     22 49
Marketable debt securities                
Unrealized (losses)/gains on marketable debt securities, after tax 0     5     2 3
Foreign currency translation                
Foreign currency translation, after tax (26)     61     96 (41)
Total other comprehensive income/(loss) 41     (12)     (275) 78
Accumulated Other Comprehensive Loss                
Derivatives qualifying as cash flow hedges:                
Recognized in other comprehensive income/(loss), pretax 29     (159)     (391) 179
Recognized in other comprehensive income/(loss), tax (5)     26     80 (33)
Recognized in other comprehensive income/(loss), after tax 24     (133)     (311) 146
Reclassified to net earnings, pretax 32     (58)     (104) (93)
Reclassified to net earnings, tax (8)     13     20 14
Reclassified to net earnings, after tax 24     (45)     (84) (79)
Derivatives qualifying as cash flow hedges, pretax 61     (217)     (495) 86
Derivatives qualifying as cash flow hedges, tax (13)     39     100 (19)
Derivatives qualifying as cash flow hedges, after tax 48     (178)     (395) 67
Pension and postretirement benefits                
Actuarial gains/(losses), pretax 23     4     23 (89)
Actuarial gains/(losses), tax (6)     0     (6) 22
Actuarial gains/(losses), after tax 17     4     17 (67)
Amortization, pretax 0     4     4 7
Amortization, tax 1     (1)     0 (1)
Amortization, after tax 1     3     5 6
Settlements, pretax       100       119
Settlements, tax       (7)       (9)
Settlements, after tax       93       110
Pension and postretirement benefits, pre-tax 23     108     27 37
Pension and postretirement benefits, tax (4)     (8)     (5) 12
Pension and postretirement benefits, after tax 19     100     22 49
Marketable debt securities                
Unrealized (losses)/gains on marketable debt securities, pretax 0     7     2 4
Unrealized (losses)/gains on marketable debt securities, tax 0     (2)     0 (1)
Unrealized (losses)/gains on marketable debt securities, after tax 0     5     2 3
Foreign currency translation                
Foreign currency translation, pretax (27)     34     64 (47)
Foreign currency translation, tax 1     27     33 6
Foreign currency translation, after tax (26)     61     96 (41)
Other comprehensive income, pre-tax 58     (68)     (403) 80
Other comprehensive income, tax (17)     56     127 (2)
Total other comprehensive income/(loss) $ 41 $ (130) $ (185) $ (12) $ (56) $ 146 $ (275) $ 78