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Restructuring and Cost Reduction Activities (Tables)
12 Months Ended
Jan. 02, 2021
Restructuring Cost and Reserve [Line Items]  
Schedule of Restructuring and Cost Reduction Activities
Program costs to date
(millions)202020192018January 2, 2021
Employee related costs$29 $49 $63 $79 
Pension curtailment (gain) loss, net(8)(5)(30)(13)
Asset related costs2 21 16 2 
Asset impairment — 14  
Other costs6 48 80 20 
Total$29 $113 $143 $88 
  
  
  
  
Program costs to date
(millions)202020192018January 2, 2021
North America$8 $50 $107 $29 
Europe3 47 41 
Latin America5 15 15 5 
AMEA12 11 12 
Corporate1 (2)1 
Total$29 $113 $143 $88 
Schedule of Exit Cost Reserves
(millions)Employee
Related
Costs
Curtailment Gain Loss, netAsset
Impairment
Asset Related
Costs
Other
Costs
Total
Liability as of December 29, 2018$62 $— $— $$10 $73 
2019 restructuring charges49 (5)— 21 48 113 
Cash payments(74)— — (10)(57)(141)
Non-cash charges and other — — (12)— (7)
Liability as of December 28, 2019$37 $— $— $— $$38 
2020 restructuring charges29 (8)— 29 
Cash payments(38)— — — (7)(45)
Non-cash charges and other — — (2)— 
Liability as of January 2, 2021$28 $ $ $ $ $28