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RESTRUCTURING, GOODWILL IMPAIRMENT AND ASSET RELATED CHARGES - NET (Tables)
12 Months Ended
Dec. 31, 2018
DowDuPont Agriculture Division Restructuring Program  
Restructuring Cost and Reserve [Line Items]  
Schedule of Restructuring Reserve by Type of Cost
The following table summarizes the activities related to the Agriculture Division Program. At December 31, 2018, $23 million was included in "Accrued and other current liabilities" in the consolidated balance sheets.

DowDuPont Agriculture Division Program
Severance and Related Benefit Costs
Asset Write-downs and Write-offs
Total
In millions
2018 restructuring charges
$
24

$
1

$
25

Charges against the reserve

(1
)
(1
)
Cash payments
(1
)

(1
)
Reserve balance at Dec 31, 2018
$
23

$

$
23

DowDuPont Cost Synergy Program  
Restructuring Cost and Reserve [Line Items]  
Schedule of Restructuring Reserve by Type of Cost
The following table summarizes the activities related to the Synergy Program. At December 31, 2018, $272 million was included in "Accrued and other current liabilities" ($231 million at December 31, 2017) and $55 million was included in "Other noncurrent obligations" ($118 million at December 31, 2017) in the consolidated balance sheets.

DowDuPont Synergy Program
Severance and Related Benefit Costs
Asset Write-downs and Write-offs
Costs Associated with Exit and Disposal Activities
Total
In millions
2017 restructuring charges
$
357

$
287

$
43

$
687

Charges against the reserve

(287
)

(287
)
Cash payments
(51
)


(51
)
Reserve balance at Dec 31, 2017
$
306

$

$
43

$
349

2018 restructuring charges
204

226

121

551

Charges against the reserve

(226
)

(226
)
Cash payments
(248
)

(99
)
(347
)
Reserve balance at Dec 31, 2018
$
262

$

$
65

$
327

2016 Restructuring  
Restructuring Cost and Reserve [Line Items]  
Schedule of Restructuring Reserve by Type of Cost
The following table summarizes the activities related to the Company's 2016 restructuring reserve.

2016 Restructuring Charges
Severance and Related Benefit Costs
Asset Write-downs and Write-offs
Costs Associated with Exit and Disposal Activities
Total
In millions
2016 restructuring charges
$
268

$
153

$
28

$
449

Charges against the reserve

(153
)

(153
)
Cash payments
(67
)

(1
)
(68
)
Reserve balance at Dec 31, 2016
$
201

$

$
27

$
228

Adjustments to the reserve 1


(7
)
(7
)
Cash payments
(150
)

(3
)
(153
)
Reserve balance at Dec 31, 2017
$
51

$

$
17

$
68

Adjustments to the reserve 1
(8
)

14

6

Cash payments
(37
)

(4
)
(41
)
Reserve balance at Jun 30, 2018
$
6

$

$
27

$
33


1.
Included in "Restructuring, goodwill impairment and asset related charges - net" in the consolidated statements of income.