XML 43 R30.htm IDEA: XBRL DOCUMENT v3.25.4
Valuation of Debt and Equity Investments and Certain Liabilities (Tables)
12 Months Ended
Dec. 31, 2025
Fair Value Disclosures [Abstract]  
Investments
Details of our investments are as follows:
December 31, 2025
December 31, 2024
Cash and Cash EquivalentsShort-Term InvestmentsLong-Term InvestmentsCash and Cash EquivalentsShort-Term InvestmentsLong-Term Investments
Measured at fair value:
Money market funds$844 $ $ $762 $— $— 
Corporate obligations517 522  694 796 — 
U.S. government and agency securities1,296 1,035  752 3,485 — 
Non-U.S. government and agency securities184 99  249 99 — 
Mutual funds  11 — — 11 
Total2,841 1,656 11 2,457 4,380 11 
Other investments  5 — — 12 
Cash on hand384   743 — — 
Total$3,225 $1,656 $16 $3,200 $4,380 $23 
Aggregate Maturities of Available-for-sale Debt Investments
The following table presents the aggregate maturities of our debt investments as of December 31, 2025:
Fair Value
One year or less$3,232 
One to two years421 
Assets and Liabilities Accounted for at Fair Value
The following are our assets and liabilities that were accounted for at fair value on a recurring basis. These tables do not include cash on hand, assets held by our postretirement plans, or assets and liabilities that are measured at historical cost or any basis other than fair value.
December 31, 2025
December 31, 2024
Level 1Level 2TotalLevel 1Level 2Total
Assets:
Money market funds$844 $ $844 $762 $— $762 
Corporate obligations 1,039 1,039 — 1,490 1,490 
U.S. government and agency securities1,932 399 2,331 2,591 1,646 4,237 
Non-U.S. government and agency securities 283 283 — 348 348 
Mutual funds11  11 11 — 11 
Total assets$2,787 $1,721 $4,508 $3,364 $3,484 $6,848 
Liabilities:
Deferred compensation$492 $ $492 $443 $— $443 
Total liabilities$492 $ $492 $443 $— $443