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Restructuring Plans (Tables)
3 Months Ended
Mar. 31, 2022
Restructuring Plans  
Schedule of restructuring reserve and related cost

Inventory-

Related

Fixed Asset

Other Exit

(in millions)

    

Charges

    

Write-Downs

    

Costs

    

Total

Restructuring charges recorded in 2021

$

248

$

80

$

113

$

441

Payments

 

 

 

(90)

 

(90)

Other non-cash

 

(248)

 

(80)

 

 

(328)

Accrued balance at December 31, 2021

23

23

Payments and other adjustments

(3)

(3)

Accrued balance at March 31, 2022

$

$

$

20

$

20

Summary of restructuring activity

(in millions)

    

Restructuring charges

$

68

Payments and other adjustments

(7)

Accrued balance at December 31, 2021

61

Payments and other adjustments

(16)

Accrued balance at March 31, 2022

$

45