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Cash Flow Information (Tables)
12 Months Ended
Dec. 31, 2025
Supplemental Cash Flow Information [Abstract]  
Schedule of Cash Paid for Interest and Income Taxes
Total cash paid for income taxes (net of any income tax refunds received) was as follows:
For the year ended December 31,202520242023
U.S. Federal$188 $93 $
U.S. State14 
Foreign:
Germany33 28 18 
France25 11 34 
China18 10 
Japan(1)22 
Canada
Other19 20 13 
Total$312 $177 $104 
December 31,202520242023
Right-of-use assets obtained in exchange for operating lease obligations$50 $66 $68 
Weighted-average remaining lease term in years5.75.96.4
Weighted-average discount rate5.4 %5.7 %5.9 %
Cash paid for interest and income taxes was as follows:
202520242023
Interest, net of amounts capitalized$157 $180 $221 
Income taxes, net of amounts refunded$312 $177 $104 
Schedule of Supplier Financing Program
The rollforwards of the Company’s outstanding obligations confirmed as valid under its supplier financing program for the years ended December 31, 2025, and 2024 are as follows:
20252024
Confirmed obligations outstanding at the beginning of the year$268 $258 
Invoices confirmed during the year881 877 
Confirmed invoices paid during the year(883)(867)
Confirmed obligations outstanding at the end of the year
$266 $268