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Financial Instruments and Risk Management - Impact on Earnings (Details) - USD ($)
$ in Millions
12 Months Ended
Jan. 01, 2019
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2017
Impact on Earnings from Derivative Instruments        
Cash Flow Hedge - Reclassified Amount from Accumulated Other Comprehensive Earnings (Loss)   $ 28.0 $ 119.0 $ (78.0)
Gain (Loss) on Derivatives not Designated as Hedge Instruments   159.0 98.0 (67.0)
Amounts reclassified into earnings:        
Commodity contracts   27.0 (55.0) (43.0)
Interest rate contracts   (1.0)    
Cross currency swap contracts   (47.0) (63.0) 120.0
Currency exchange contracts   (7.0) (1.0) 1.0
Change in fair value of cash flow hedges:        
Derivative, Gain (Loss) on Derivative, Net   28.0 119.0 (78.0)
Stranded tax effects reclassified into retained earnings:        
Reclassification of stranded tax effects $ 79.0      
Changes in accumulated other comprehensive earnings (loss) for effective derivatives   42.0 (67.0) 35.0
Commodity contracts        
Impact on Earnings from Derivative Instruments        
Cash Flow Hedge - Reclassified Amount from Accumulated Other Comprehensive Earnings (Loss)   (10.0) (31.0) 67.0
Change in fair value of cash flow hedges:        
Derivative, Gain (Loss) on Derivative, Net   (10.0) (31.0) 67.0
Stranded tax effects reclassified into retained earnings:        
Reclassification of stranded tax effects   2.0    
Commodity contracts | Net sales        
Impact on Earnings from Derivative Instruments        
Cash Flow Hedge - Reclassified Amount from Accumulated Other Comprehensive Earnings (Loss)   18.0 1.0 (7.0)
Gain (Loss) on Derivatives not Designated as Hedge Instruments     1.0 (4.0)
Change in fair value of cash flow hedges:        
Derivative, Gain (Loss) on Derivative, Net   18.0 1.0 (7.0)
Commodity contracts | Cost of sales        
Impact on Earnings from Derivative Instruments        
Cash Flow Hedge - Reclassified Amount from Accumulated Other Comprehensive Earnings (Loss)   (45.0) 54.0 50.0
Gain (Loss) on Derivatives not Designated as Hedge Instruments   2.0 8.0 (5.0)
Change in fair value of cash flow hedges:        
Derivative, Gain (Loss) on Derivative, Net   (45.0) 54.0 50.0
Interest rate contracts        
Impact on Earnings from Derivative Instruments        
Cash Flow Hedge - Reclassified Amount from Accumulated Other Comprehensive Earnings (Loss)   1.0    
Change in fair value of cash flow hedges:        
Derivative, Gain (Loss) on Derivative, Net   1.0    
Interest rate contracts | Interest expense.        
Impact on Earnings from Derivative Instruments        
Cash Flow Hedge - Reclassified Amount from Accumulated Other Comprehensive Earnings (Loss)   1.0    
Change in fair value of cash flow hedges:        
Derivative, Gain (Loss) on Derivative, Net   1.0    
Foreign currency contracts | Selling, general and administrative        
Impact on Earnings from Derivative Instruments        
Cash Flow Hedge - Reclassified Amount from Accumulated Other Comprehensive Earnings (Loss)   7.0 1.0 (1.0)
Gain (Loss) on Derivatives not Designated as Hedge Instruments   111.0 70.0 (57.0)
Change in fair value of cash flow hedges:        
Derivative, Gain (Loss) on Derivative, Net   7.0 1.0 (1.0)
Equity contracts | Selling, general and administrative        
Impact on Earnings from Derivative Instruments        
Gain (Loss) on Derivatives not Designated as Hedge Instruments   46.0 19.0 (1.0)
Cross-currency swap        
Impact on Earnings from Derivative Instruments        
Cash Flow Hedge - Reclassified Amount from Accumulated Other Comprehensive Earnings (Loss)   78.0 69.0 (137.0)
Change in fair value of cash flow hedges:        
Derivative, Gain (Loss) on Derivative, Net   78.0 69.0 (137.0)
Stranded tax effects reclassified into retained earnings:        
Reclassification of stranded tax effects   (5.0)    
Cross-currency swap | Interest expense.        
Impact on Earnings from Derivative Instruments        
Cash Flow Hedge - Reclassified Amount from Accumulated Other Comprehensive Earnings (Loss)   12.0 14.0 16.0
Change in fair value of cash flow hedges:        
Derivative, Gain (Loss) on Derivative, Net   12.0 14.0 16.0
Cross-currency swap | Selling, general and administrative        
Impact on Earnings from Derivative Instruments        
Cash Flow Hedge - Reclassified Amount from Accumulated Other Comprehensive Earnings (Loss)   35.0 49.0 (136.0)
Change in fair value of cash flow hedges:        
Derivative, Gain (Loss) on Derivative, Net   35.0 49.0 (136.0)
Currency exchange contracts        
Impact on Earnings from Derivative Instruments        
Cash Flow Hedge - Reclassified Amount from Accumulated Other Comprehensive Earnings (Loss)   17.0 (5.0) 7.0
Change in fair value of cash flow hedges:        
Derivative, Gain (Loss) on Derivative, Net   17.0 (5.0) 7.0
Foreign currency and tax impacts        
Impact on Earnings from Derivative Instruments        
Cash Flow Hedge - Reclassified Amount from Accumulated Other Comprehensive Earnings (Loss)   (13.0) 19.0 20.0
Change in fair value of cash flow hedges:        
Derivative, Gain (Loss) on Derivative, Net   $ (13.0) $ 19.0 $ 20.0