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SHAREHOLDERS' INTEREST (Tables)
12 Months Ended
Dec. 31, 2015
Reconciliation of Our Common Share Activity
Reconciliation of Our Common Share Activity
IN THOUSANDS
  
2015

2014

2013

Outstanding at beginning of year
524,474

583,548

542,393

New issuance (Note 4)


33,350

Shares tendered (Note 3)

(58,813
)

Stock options exercised
1,592

5,134

7,209

Issued for restricted stock units
365

451

462

Issued for performance shares
242

217

134

Repurchased
(16,190
)
(6,063
)

Outstanding at end of year
510,483

524,474

583,548

Changes in amounts included in our cumulative other comprehensive income (loss) by component
Changes in amounts included in our cumulative other comprehensive income (loss) by component are:
DOLLAR AMOUNTS IN MILLIONS
 
 
PENSION
OTHER POSTRETIREMENT BENEFITS
 
 
  
Foreign currency translation adjustments
Actuarial losses
Prior service costs
Actuarial losses
Prior service credits
Unrealized gains on available-for-sale securities
Total
Beginning balance as of January 1, 2014
$
354

$
(1,066
)
$
(19
)
$
(111
)
$
150

$
6

$
(686
)
Other comprehensive income (loss) before reclassifications
(50
)
(1,008
)
1

(6
)
(12
)

(1,075
)
Income taxes

369


1

7


377

Net other comprehensive income (loss) before reclassifications
(50
)
(639
)
1

(5
)
(5
)

(698
)
Amounts reclassified from cumulative other comprehensive income (loss)(1)

125

5

12

(161
)

(19
)
Income taxes

(43
)
(2
)
(4
)
59


10

Net amounts reclassified from cumulative other comprehensive income (loss)

82

3

8

(102
)

(9
)
Total other comprehensive income (loss)
(50
)
(557
)
4

3

(107
)

(707
)
Beginning balance as of January 1, 2015
304

(1,623
)
(15
)
(108
)
43

6

(1,393
)
Other comprehensive income (loss) before reclassifications
(97
)
184

2

37

(2
)

124

Income taxes

(52
)

(12
)


(64
)
Net other comprehensive income (loss) before reclassifications
(97
)
132

2

25

(2
)

60

Amounts reclassified from cumulative other comprehensive income (loss)(1)

182

4

10

(9
)

187

Income taxes

(63
)
(2
)
(4
)
3


(66
)
Net amounts reclassified from cumulative other comprehensive income (loss)

119

2

6

(6
)

121

Total other comprehensive income (loss)
(97
)
251

4

31

(8
)

181

Ending balance as of December 31, 2015
$
207

$
(1,372
)
$
(11
)
$
(77
)
$
35

$
6

$
(1,212
)
(1) Actuarial losses and prior service credits (costs) are included in the computation of net periodic benefit costs (credits). See Note: 9 Pension and Other Postretirement Benefit Plans.