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REPOSITIONING AND OTHER CHARGES (Tables)
12 Months Ended
Dec. 31, 2024
Restructuring and Related Activities [Abstract]  
Repositioning And Other Charges
A summary of net repositioning and other charges follows:
 Years Ended December 31,
202420232022
Severance$136 $162 $122 
Asset impairments22 41 176 
Exit costs68 139 122 
Reserve adjustments(97)(56)(56)
Total net repositioning charges129 286 364 
Asbestos-related charges, net of insurance and reimbursements61 534 532 
Probable and reasonably estimable environmental liabilities, net of reimbursements37 44 28 
Other charges17 (4)342 
Total net repositioning and other charges$244 $860 $1,266 
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,
202420232022
Cost of products and services sold$109 $680 $572 
Selling, general and administrative expenses118 172 309 
Other (income) expense17 385 
Total net repositioning and other charges$244 $860 $1,266 
Pretax Impact of Total Net Repositioning and Other Charges by Segment
The following table summarizes the pre-tax amount of total net repositioning and other charges by reportable business segment. These amounts are excluded from segment profit as described in Note 22 Segment Financial Data:
 Years Ended December 31,
202420232022
Aerospace Technologies$(3)$23 $41 
Industrial Automation60 139 395 
Building Automation25 58 63 
Energy and Sustainability Solutions23 23 125 
Corporate and All Other139 617 642 
Total net repositioning and other charges$244 $860 $1,266 
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, 2021$289 $ $122 $411 
Charges122 176 122 420 
Usage—cash(135)— (140)(275)
Usage—noncash— (168)(15)(183)
Adjustments(42)(8)(6)(56)
Foreign currency translation— (9)(8)
Balance at December 31, 2022235  74 309 
Charges162 41 139 342 
Usage—cash(173)— (121)(294)
Usage—noncash— (36)— (36)
Divestitures— (4)(5)(9)
Adjustments(42)(1)(13)(56)
Foreign currency translation— 17 23 
Balance at December 31, 2023188  91 279 
Charges136 22 68 226 
Usage—cash(91)— (104)(195)
Usage—noncash— (6)— (6)
Adjustments(41)(16)(40)(97)
Reclassifications to Liabilities held for sale(14)— (8)(22)
Balance at December 31, 2024$178 $ $7 $185