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REPOSITIONING AND OTHER CHARGES (Tables)
12 Months Ended
Dec. 31, 2014
Repositioning And Other Charges [Abstract]  
Repositioning and other charges text block
 A summary of repositioning and other charges follows:
    
  Years Ended December 31, 
   2014  2013  2012 
Severance$156 $186 $91 
Asset impairments 12  23  12 
Exit costs 16  22  16 
Reserve adjustments (38)  (30)  (66) 
  Total net repositioning charge 146  201  53 
          
          
Asbestos related litigation charges, net of insurance 182  181  156 
Probable and reasonably estimable environmental liabilities 268  272  234 
Other 2  9   - 
          
  Total net repositioning and other charges$598$663$ 443
Pretax distribution of total net repositioning and other charges by income statement classification
The following table summarizes the pretax distribution of total net repositioning and other charges by income statement classification:
     
  Years Ended December 31,  
  2014  2013  2012  
Cost of products and services sold$525 $566 $428  
Selling, general and administrative expenses 73  97  15  
 $598 $663 $443  
           
Pretax Impact of Total Net Repositioning and Other Charges by Segment
The following table summarizes the pretax impact of total net repositioning and other charges by segment:
    
  Years Ended December 31, 
  2014  2013  2012 
Aerospace$ 193 $235 $ 192 
Automation and Control Solutions  80   68   13 
Performance Materials and Technologies  33   56   17 
Corporate  292   304   221 
 $ 598 $ 663 $ 443 
Total Repositioning Reserves
  The following table summarizes the status of our total repositioning reserves:    
              
   Severance  Asset  Exit    
   Costs  Impairments  Costs  Total 
Balance at December 31, 2011$ 353 $ - $ 59 $ 412 
 2012 charges  91   12   16   119 
 2012 usage - cash  (113)   -   (23)   (136) 
 2012 usage - noncash  -   (12)   -   (12) 
 Adjustments  (61)   -   (5)   (66) 
 Foreign currency translation  6   -   -   6 
Balance at December 31, 2012  276   -   47   323 
 2013 charges  186   23   22   231 
 2013 usage - cash  (139)   -   (21)   (160) 
 2013 usage - noncash  -   (23)   -   (23) 
 Adjustments  (27)   -   (3)   (30) 
 Foreign currency translation  6   -   -   6 
Balance at December 31, 2013  302   -   45   347 
 2014 charges  156   12   16   184 
 2014 usage - cash  (135)   -   (26)   (161) 
 2014 usage - noncash  -   (12)   -   (12) 
 Adjustments  (33)   -   (5)   (38) 
 Foreign currency translation  (5)   -   -   (5) 
Balance at December 31, 2014$ 285 $ - $ 30 $ 315