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FAIR VALUE MEASUREMENTS - Reconciliation of Level 3 Defined Benefit Plan Assets (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Insurance contract    
Change in plan assets:    
Fair value, beginning balance $ 74 $ 69
Purchases, sales and settlements 31 0
Benefits paid (5) 5
Unrealized (losses) gains on assets still held at the reporting date   (4)
Translation adjustment (2) 4
Fair value, ending balance 98 74
Real estate trust fund    
Change in plan assets:    
Fair value, beginning balance 0 46
Purchases, sales and settlements 0 (46)
Benefits paid 0 0
Unrealized (losses) gains on assets still held at the reporting date   0
Translation adjustment 0 0
Fair value, ending balance $ 0 $ 0