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Stockholders' Equity (Tables)
12 Months Ended
Dec. 31, 2013
Stockholders' Equity Note [Abstract]  
Reconciliation of Common Stock Share Activity
Shares of common stock
Issued
Held In Treasury
Balance January 1, 2011
1,004,351,000

(87,041,000
)
Issued
22,650,000


Repurchased

(13,837,000
)
Retired
(13,837,000
)
13,837,000

Balance December 31, 2011
1,013,164,000

(87,041,000
)
Issued
14,671,000


Repurchased

(7,778,000
)
Retired
(7,778,000
)
7,778,000

Balance December 31, 2012
1,020,057,000

(87,041,000
)
Issued
14,370,000


Repurchased

(20,400,000
)
Retired
(20,400,000
)
20,400,000

Balance December 31, 2013
1,014,027,000

(87,041,000
)
Schedule of Components of Other Comprehensive Income / (Loss)
For the year ended December 31,
2013
2012
2011
Affected Line Item in Consolidated Income Statements1
 
Pre-Tax
Tax
After-Tax
Pre-Tax
Tax
After-Tax
Pre-Tax
Tax
After-Tax
Cumulative translation adjustment
$
25

$

$
25

$
77

$

$
77

$
(457
)
$

$
(457
)
 
Net revaluation and clearance of cash flow hedges to earnings:









 
Additions and revaluations of derivatives designated as cash flow hedges
(58
)
22

(36
)
8

(6
)
2

10

(5
)
5

See (2) below
Clearance of hedge results to earnings:
 
 
 
 
 
 
 
 
 
 
Foreign currency contracts
(1
)

(1
)
(21
)
8

(13
)
15

(5
)
10

Net sales
Commodity contracts
(24
)
10

(14
)
(44
)
20

(24
)
81

(31
)
50

Cost of goods sold
Net revaluation and clearance of cash flow hedges to earnings
(83
)
32

(51
)
(57
)
22

(35
)
106

(41
)
65

 
Pension benefit plans:









 
Net gain (loss)
3,293

(1,136
)
2,157

(1,433
)
437

(996
)
(4,069
)
1,402

(2,667
)
See (2) below
Prior service benefit (cost)
62

(22
)
40

22

(8
)
14

(2
)

(2
)
See (2) below
Reclassifications to net income:
 
 
 
 
 
 
 
 
 
 
Amortization of prior service cost
8

(2
)
6

13

(4
)
9

16

(5
)
11

See (3) below
Amortization of loss
957

(331
)
626

887

(305
)
582

613

(210
)
403

See (3) below
Curtailment loss
1


1

2


2




See (3) below
Settlement loss
152

(45
)
107

5

(2
)
3




See (3) below
Pension benefit plans, net
4,473

(1,536
)
2,937

(504
)
118

(386
)
(3,442
)
1,187

(2,255
)
 
Other benefit plans:









 
Net gain (loss)
513

(184
)
329

(60
)
17

(43
)
(437
)
151

(286
)
See (2) below
Prior service benefit (cost)
211

(72
)
139

857

(299
)
558

(11
)
4

(7
)
See (2) below
Reclassifications to net income:
 
 
 
 
 
 
 
 
 
 
Amortization of prior service benefit
(195
)
69

(126
)
(155
)
54

(101
)
(121
)
43

(78
)
See (3) below
Amortization of loss
76

(27
)
49

94

(33
)
61

60

(21
)
39

See (3) below
Curtailment (gain) loss
(154
)
54

(100
)
3

(1
)
2




See (3) below
Settlement loss
1


1







See (3) below
Other benefit plans, net
452

(160
)
292

739

(262
)
477

(509
)
177

(332
)
 
Net unrealized (loss) gain on securities
1

(1
)

(2
)
1

(1
)
2

(1
)
1

 
Other comprehensive income (loss)
$
4,868

$
(1,665
)
$
3,203

$
253

$
(121
)
$
132

$
(4,300
)
$
1,322

$
(2,978
)
 


1 
Represents the income statement line item within the Consolidated Income Statement affected by the pre-tax reclassification out of other comprehensive income (loss).
2 
These amounts represent changes in accumulated other comprehensive income excluding changes due to reclassifying amounts to the Consolidated Income Statements.
3 
These accumulated other comprehensive income components are included in the computation of net periodic benefit cost of the company's pension and other long-term employee benefit plans. See Note 18 for additional information.

Schedule of Accumulated Other Comprehensive Loss
 
Cumulative Translation Adjustment
Net Revaluation and Clearance of Cash Flow Hedges to Earnings
Pension Benefit Plans
Other Benefit Plans
Unrealized Gain (Loss) on Securities
Total
2011
 

 

 

 

 

 

Balance January 1, 2011
$
213

$
(31
)
$
(6,032
)
$
58

$
2

$
(5,790
)
Other comprehensive income (loss) before reclassifications
(457
)
12

(2,658
)
(293
)
1

(3,395
)
Amounts reclassified from accumulated other comprehensive income (loss)

60

414

(39
)

435

Balance December 31, 2011
$
(244
)
$
41

$
(8,276
)
$
(274
)
$
3

$
(8,750
)
2012
 

 

 

 

 

 

Other comprehensive income (loss) before reclassifications
77

(1
)
(1,006
)
514

(1
)
(417
)
Amounts reclassified from accumulated other comprehensive income (loss)

(37
)
596

(38
)

521

Balance December 31, 2012
$
(167
)
$
3

$
(8,686
)
$
202

$
2

$
(8,646
)
2013
 

 

 

 

 

 

Other comprehensive income (loss) before reclassifications
27

(36
)
2,197

468


2,656

Amounts reclassified from accumulated other comprehensive income (loss)

(15
)
740

(176
)

549

Balance December 31, 2013
$
(140
)
$
(48
)
$
(5,749
)
$
494

$
2

$
(5,441
)