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FINANCIAL INSTRUMENTS AND FAIR VALUE MEASURES (Tables)
12 Months Ended
Dec. 31, 2013
Financial Instruments And Fair Value Measures [Abstract]  
Schedule Of Fair Value Assets And Liabilities Measured On Recurring Basis Table Text Block
   December 31, 
   2013  2012 
 Assets:      
  Foreign currency exchange contracts$ 20 $ 52 
  Available for sale investments  826   518 
  Interest rate swap agreements  63   146 
  Forward commodity contracts  -   1 
        
 Liabilities:       
  Foreign currency exchange contracts$ 27 $ 32 
  Interest rate swap agreements  8   - 
  Forward commodity contracts  -   1 
Financial assets and liabilities that were not carried at fair value
 December 31, 2013 December 31, 2012
 Carrying Fair Carrying Fair
ValueValueValueValue
Assets           
Long-term receivables$250 $245 $199 $200
Liabilities           
Long-term debt and related current maturities$7,433 $8,066 $7,020 $8,152
Asset and Liability Derivatives Both Designated and Not Designated as Hedging Instruments at Fair Value
Fair value of derivatives classified as assets consist of the following:     
    December 31,
Designated as a Hedge Balance Sheet Classification 2013  2012
        
Foreign currency exchange contracts Accounts, notes, and other receivables$ 16 $ 37
Interest rate swap agreements Other assets  63   146
Forward commodity contracts Accounts, notes, and other receivables  -   1
        
    December 31,
Not Designated as a Hedge Balance Sheet Classification 2013  2012
        
Foreign currency exchange contracts Accounts, notes, and other receivables$ 4 $ 15
        
        
Fair value of derivatives classified as liabilities consist of the following:     
    December 31,
Designated as a Hedge Balance Sheet Classification 2013  2012
        
Foreign currency exchange contracts Accrued liabilities$ 23 $ 29
Interest rate swap agreements Accrued liabilities  8   -
Forward commodity contracts Accrued liabilities  -   1
        
    December 31,
Not Designated as a Hedge Balance Sheet Classification 2013  2012
        
Foreign currency exchange contracts Accrued liabilities$ 4 $ 3
Gains (losses) recognized in OCI and reclassified from AOCI to income
       
Gains (losses) recognized in other comprehensive income (effective portions) consist of the following:
       
   Years Ended 
   December 31, 
 Designated Cash Flow Hedge 2013 2012 
       
 Foreign currency exchange contracts $(37)$31 
 Forward commodity contracts (1) (8) 
       

       
Gains (losses) reclassified from AOCI to income consist of the following:  
       
    Year Ended
    December 31,
Designated Cash Flow Hedge Income Statement Location 2013 2012
       
Foreign currency exchange contracts Product sales$(7)$(7)
  Cost of products sold (4) 23
  Sales & general administrative (11) (12)
       
Forward commodity contracts Cost of products sold$(1)$(17)