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Supplemental Cash Flow Information (Tables)
12 Months Ended
Dec. 31, 2023
Supplemental Cash Flow Information [Abstract]  
Schedule of Supplemental Cash Flow Disclosures
(In millions)202320222021
Cash paid for:
Interest
$1,385 $667 $555 
Income taxes
1,482 1,234 2,182 
Non-cash investing and financing activities
Acquired but unpaid property, plant and equipment
296 393 379 
Fair value of equity awards exchanged— — 43 
Fair value of acquisition contingent consideration— — 183 
Finance lease ROU assets obtained in exchange for new finance lease liabilities33 15 
Declared but unpaid dividends
137 119 104 
Issuance of stock upon vesting of restricted stock units
234 241 265 
Excise tax from stock repurchases28 — — 
Schedule of Cash, Cash Equivalents and Restricted Cash
Cash, cash equivalents and restricted cash is included in the consolidated balance sheet as follows:
 December 31,December 31,
(In millions)20232022
Cash and cash equivalents$8,077 $8,524 
Restricted cash included in other current assets12 
Restricted cash included in other assets14 
Cash, cash equivalents and restricted cash$8,097 $8,537