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Consolidated Condensed Statements Of Cash Flows (USD $)
In Thousands
9 Months Ended
Sep. 30, 2011
Oct. 01, 2010
Cash flows from operating activities:  
Net earnings$ 1,601,550$ 1,319,144
Less: earnings from discontinued operations, net of tax208,23030,471
Net earnings from continued operations1,393,3201,288,673
Non-cash items:  
Depreciation232,077142,190
Amortization201,786144,411
Stock compensation expense71,61665,954
Earnings from unconsolidated joint venture, net of cash dividends received(24,059)(10,550)
Pre-tax gain on contribution of businesses to joint venture (291,037)
Change in trade accounts receivable, net3,725(80,004)
Change in inventories9,911(200,909)
Change in trade accounts payable23,653185,381
Change in prepaid expenses and other assets60,998122,648
Change in accrued expenses and other liabilities(79,073)110,321
Total operating cash flows from continuing operations1,893,9541,477,078
Total operating cash flows (used in) from discontinued operations(94,880)33,991
Net cash flows from operating activities1,799,0741,511,069
Cash flows from investing activities:  
Payments for additions to property, plant and equipment(217,982)(140,181)
Proceeds from disposals of property, plant and equipment10,285711
Proceeds from contribution of businesses to joint venture12,45445,226
Cash paid for acquisitions(6,087,087)(1,568,068)
Total investing cash flows used in continuing operations(6,282,330)(1,622,312)
Investing cash flows used in discontinued operations(1,521)(5,048)
Proceeds from sale of discontinued operations680,105 
Net cash used in investing activities(5,603,746)(1,667,360)
Cash flows from financing activities:  
Proceeds from issuance of common stock1,060,272117,200
Payment of dividends(44,129)(39,087)
Net proceeds (repayments) of borrowings (maturities of 90 days or less)1,416,071(9,131)
Proceeds of borrowings (maturities greater than 90 days)1,785,764 
Repayments of borrowings (maturities greater than 90 days)(1,594,573) 
Net cash provided by financing activities2,623,40568,982
Effect of exchange rate changes on cash and equivalents32,655430
Net change in cash and equivalents(1,148,612)(86,879)
Beginning balance of cash and equivalents1,632,9801,721,920
Ending balance of cash and equivalents484,3681,635,041
Supplemental disclosures:  
Cash interest payments108,546104,941
Cash income tax payments (including $85 million in 2011 related to the gain on sale of a discontinued business - refer to Note 3)$ 367,890$ 177,628