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FAIR VALUE MEASUREMENTS - Reconciliation of Level 3 Defined Benefit Plan Assets (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Insurance contract    
Change in plan assets:    
Fair value, beginning balance $ 108 $ 113
Purchases, sales and settlements 0 0
Realized gains 0  
Benefits paid (5) (4)
Unrealized (losses) gains on assets still held at the reporting date (20) 1
Translation adjustment (14) (2)
Fair value, ending balance 69 108
Real estate trust fund    
Change in plan assets:    
Fair value, beginning balance 127 86
Purchases, sales and settlements (93) 36
Realized gains 3  
Benefits paid 0 0
Unrealized (losses) gains on assets still held at the reporting date 25 7
Translation adjustment (16) (2)
Fair value, ending balance $ 46 $ 127