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COMMITMENTS AND CONTINGENT LIABILITIES (Tables)
12 Months Ended
Dec. 31, 2016
Dec. 31, 2015
Commitments and Contingencies Disclosure [Abstract]    
Environmental Loss Contingency Disclosure [Text Block]
Accrued Obligations for Environmental Matters
In millions
2016

 
2015

Balance at January 1
$
670

 
$
706

Accrual adjustment
479

 
230

Payments against reserve
(246
)
 
(233
)
Foreign currency impact
6

 
(33
)
Balance at December 31
$
909

 
$
670

 
Unrecorded Unconditional Purchase Obligations Disclosure [Table Text Block]
Fixed and Determinable Portion of Take-or-Pay and
Throughput Obligations at December 31, 2016
In millions
2017
$
2,600

2018
2,498

2019
2,172

2020
2,083

2021
1,725

2022 and beyond
7,304

Total
$
18,382

 
Schedule of Guarantor Obligations [Table Text Block]
Guarantees at December 31, 2016
In millions
Final
Expiration
 
Maximum Future
Payments

 
Recorded  
Liability  

Guarantees
2021
 
$
5,096

 
$
86

Residual value guarantees
2027
 
947

 
134

Total guarantees
 
 
$
6,043

 
$
220

Guarantees at December 31, 2015
In millions
Final
Expiration
 
Maximum Future
Payments

 
Recorded  
Liability  

Guarantees
2021
 
$
4,910

 
$
102

Residual value guarantees 
2025
 
912

 
117

Total guarantees
 
 
$
5,822


$
219

Schedule of Product Warranty Liability [Table Text Block]
Warranty Accrual
In millions
2016

 
2015

Balance at January 1
$
93

 
$
107

Accruals related to existing warranties (1)
11

 
5

Settlements made during the year
(20
)
 
(19
)
Balance at December 31
$
84

 
$
93

(1)
In the second quarter of 2016, the Company recorded a pretax charge of $10 million as part of the 2016 restructuring charge. The charge was included in "Restructuring charges (credits)" in the consolidated statements of income and reflected in Infrastructure Solutions. See Note 3 for additional information.

 
Schedule of Change in Asset Retirement Obligation [Table Text Block]
Asset Retirement Obligations
In millions
 
2016

 
2015

Balance at January 1
 
$
96

 
$
84

Additional accruals (1)
 
17

 
8

Liabilities settled
 
(9
)
 
(8
)
Accretion expense
 
2

 
1

Revisions in estimated cash flows
 
5

 
17

Other
 
(1
)
 
(6
)
Balance at December 31
 
$
110

 
$
96