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Supplemental Cash and Cash Flow Statement Disclosures
6 Months Ended
Jun. 30, 2024
Supplemental Cash Flow Statement Disclosures  
Supplemental Cash Flow Statement Disclosures

7.

Supplemental Cash Flow Statement Disclosures

June 30,

($ in millions)

2024

    

2023

    

Beginning of period:

    

Cash and cash equivalents

$

695

    

$

548

Current restricted cash (included in other current assets)

15

    

10

Total cash, cash equivalents and restricted cash

$

710

    

$

558

    

End of period:

    

Cash and cash equivalents

$

1,346

    

$

955

Current restricted cash (included in other current assets)

2

    

13

Total cash, cash equivalents and restricted cash

$

1,348

    

$

968

The company’s restricted cash is primarily related to receivables factoring programs and represents amounts collected from customers that have not yet been remitted to the banks as of the end of the reporting period.

Noncash investing activities include the acquisition of property, plant and equipment (PP&E) for which payment has not been made. These noncash capital expenditures are excluded from the unaudited condensed consolidated statements of cash flows. A summary of the PP&E acquired but not yet paid, inclusive of amounts related to the historical aerospace business, is as follows:

June 30,

($ in millions)

2024

    

2023

    

Beginning of period:

    

PP&E acquired but not yet paid

$

204

    

$

392

End of period:

    

PP&E acquired but not yet paid

$

139

    

$

204