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CONDENSED CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Millions
Mar. 31, 2022
Dec. 31, 2021
ASSETS    
Cash and cash equivalents $ 3,219 $ 5,044
Restricted cash 842 801
Trade receivables, net 219 192
Financing receivables, net 16,083 15,376
Receivables from Iveco Group N.V. 297 0
Inventories, net 5,427 4,216
Property, plant and equipment, net 1,463 1,475
Investments in unconsolidated subsidiaries and affiliates 317 333
Equipment under operating leases 1,676 1,738
Goodwill, net 3,216 3,210
Other intangible assets, net 1,179 1,207
Deferred tax assets 434 421
Derivative assets 216 182
Other assets 1,897 1,675
Assets held for distribution 0 13,546
Total Assets 36,485 49,416
LIABILITIES AND EQUITY    
Debt 21,335 20,897
Payables to Iveco Group N.V. 47 502
Trade payables 3,720 3,530
Deferred tax liabilities 127 125
Pension, postretirement and other postemployment benefits 630 675
Derivative liabilities 381 181
Other liabilities 4,589 4,761
Liabilities held for distribution 0 11,892
Total Liabilities 30,829 42,563
Redeemable noncontrolling interest 47 45
Common shares, €0.01, par value; outstanding 1,354,577,000 common shares and 371,087,817 loyalty program special voting shares at 3/31/2022; and outstanding 1,356,077,000 common shares and 371,218,250 loyalty program special voting shares at 12/31/2021 25 25
Treasury stock, at cost; 9,823,196 common shares at 3/31/2022 and 8,323,196 common shares at 12/31/2021 (105) (84)
Additional paid in capital 1,434 4,464
Retained earnings 6,615 4,818
Accumulated other comprehensive loss (2,367) (2,445)
Noncontrolling interests 7 30
Total Equity 5,609 6,808
Total Liabilities and Equity $ 36,485 $ 49,416