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RETIREMENT PENSION PLANS (Details 9) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Sep. 30, 2014
Sep. 30, 2013
U.S. Plans [Member]
   
Return on Plan Assets: Attributable to Assets Held $ 94 $ 3
Non- U.S. Plans [Member]
   
Return on Plan Assets: Attributable to Assets Held 69 53
Level 3 [Member] | U.S. Plans [Member] | Private equity [Member]
   
Fair Value 50 48
Return on Plan Assets: Attributable to Assets Held 23 1
Purchases 13 3
Settlements (6) (2)
Net Transfers Into (Out of) Level 3 0 0
Fair Value 80 50
Level 3 [Member] | U.S. Plans [Member] | U.S. high yield [Member]
   
Fair Value 12 10
Return on Plan Assets: Attributable to Assets Held 1 2
Purchases 2 0
Settlements 0 0
Net Transfers Into (Out of) Level 3 (15) 0
Fair Value 0 12
Level 3 [Member] | U.S. Plans [Member] | International fixed income [Member]
   
Fair Value 9 10
Return on Plan Assets: Attributable to Assets Held 2 (1)
Purchases 0 0
Settlements 0 0
Net Transfers Into (Out of) Level 3 0 0
Fair Value 11 9
Level 3 [Member] | U.S. Plans [Member] | Partnerships fixed income [Member]
   
Fair Value 19 13
Return on Plan Assets: Attributable to Assets Held 1 1
Purchases 2 9
Settlements (4) (4)
Net Transfers Into (Out of) Level 3 0 0
Fair Value 18 19
Level 3 [Member] | U.S. Plans [Member] | Partnerships equity [Member]
   
Fair Value 0 13
Return on Plan Assets: Attributable to Assets Held 0 0
Purchases 0 0
Settlements 0 0
Net Transfers Into (Out of) Level 3 1 (13)
Fair Value 1 0
Level 3 [Member] | U.S. Plans [Member] | Alternatives - Partnerships [Member]
   
Fair Value 53 49
Return on Plan Assets: Attributable to Assets Held 9 7
Purchases 0 0
Settlements (2) (3)
Net Transfers Into (Out of) Level 3 0 0
Fair Value 60 53
Level 3 [Member] | U.S. Plans [Member] | Total Level 3 fair value [Member]
   
Fair Value 143 143
Return on Plan Assets: Attributable to Assets Held 36 10
Purchases 17 12
Settlements (12) (9)
Net Transfers Into (Out of) Level 3 (14) (13)
Fair Value 170 143
Level 3 [Member] | Non- U.S. Plans [Member] | Real estate [Member]
   
Fair Value 59 50
Return on Plan Assets: Attributable to Assets Held 9 1
Purchases 0 10
Settlements (1) (2)
Net Transfers Into (Out of) Level 3 0 0
Fair Value 67 59
Level 3 [Member] | Non- U.S. Plans [Member] | Alternative investments [Member]
   
Fair Value 56 64
Return on Plan Assets: Attributable to Assets Held 5 4
Purchases 0 0
Settlements 0 (12)
Net Transfers Into (Out of) Level 3 0 0
Fair Value 61 56
Level 3 [Member] | Non- U.S. Plans [Member] | Total Level 3 fair value [Member]
   
Fair Value 115 114
Return on Plan Assets: Attributable to Assets Held 14 5
Purchases 0 10
Settlements (1) (14)
Net Transfers Into (Out of) Level 3 0 0
Fair Value $ 128 $ 115