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REPOSITIONING AND OTHER CHARGES (Tables)
12 Months Ended
Dec. 31, 2022
Restructuring and Related Activities [Abstract]  
Repositioning And Other Charges
A summary of net repositioning and other charges follows:
 Years Ended December 31,
202220212020
Severance$122 $80 $475 
Asset impairments176 117 21 
Exit costs122 134 69 
Reserve adjustments(56)(13)(47)
Total net repositioning charges364 318 518 
Asbestos-related charges, net of insurance and reimbursements532 129 50 
Probable and reasonably estimable environmental liabilities, net of reimbursements28 22 27 
Other charges342 100 (20)
Total net repositioning and other charges$1,266 $569 $575 
Pretax Distribution Of Total Net Repositioning And Other Charges
The following table summarizes the pre-tax distribution of total net repositioning and other charges by classification in the Consolidated Statement of Operations:
 Years Ended December 31,
202220212020
Cost of products and services sold$572 $457 $308 
Selling, general and administrative expenses309 112 267 
Other (income) expense385 — — 
 $1,266 $569 $575 
Pretax Impact of Total Net Repositioning and Other Charges by Segment
The following table summarizes the pre-tax amount of total net repositioning and other charges by reportable business segment. These amounts are excluded from segment profit as described in Note 22 Segment Financial Data:
 Years Ended December 31,
202220212020
Aerospace$41 $62 $157 
Honeywell Building Technologies63 13 100 
Performance Materials and Technologies332 24 167 
Safety and Productivity Solutions188 268 41 
Corporate and All Other642 202 110 
 $1,266 $569 $575 
Total Repositioning Reserves
The following table summarizes the status of the Company's total repositioning reserves:
Severance
Costs
Asset
Impairments
Exit
Costs
Total
Balance at December 31, 2019$555 $ $96 $651 
Charges475 21 69 565 
Usage—cash(474)— (90)(564)
Usage—noncash— (21)— (21)
Divestitures— — — — 
Adjustments(44)— (3)(47)
Foreign currency translation15 — 17 
Balance at December 31, 2020527  74 601 
Charges80 117 134 331 
Usage—cash(299)— (83)(382)
Usage—noncash— (119)— (119)
Divestitures— — — — 
Adjustments(14)(1)(13)
Foreign currency translation(5)— (2)(7)
Balance at December 31, 2021289  122 411 
Charges122 176 122 420 
Usage—cash(135)— (140)(275)
Usage—noncash— (168)(15)(183)
Divestitures— — — — 
Adjustments(42)(8)(6)(56)
Foreign currency translation— (9)(8)
Balance at December 31, 2022$235 $ $74 $309