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SUPPLEMENTAL FINANCIAL INFORMATION
9 Months Ended
Sep. 30, 2022
Supplemental Financial Information [Abstract]  
Supplemental Financial Information SUPPLEMENTAL FINANCIAL INFORMATION
Dollars in MillionsSeptember 30,
2022
December 31, 2021
Income taxes$3,181 $2,786 
Research and development627 514 
Contract assets446 361 
Equity investments— 255 
Restricted cash(a)
164 140 
Other1,664 776 
Other current assets$6,082 $4,832 
Dollars in MillionsSeptember 30,
2022
December 31, 2021
Equity investments$1,959 $2,713 
Inventories599 909 
Operating leases883 919 
Pension and postretirement301 317 
Research and development547 248 
Restricted cash(a)
59 197 
Other397 232 
Other non-current assets$4,745 $5,535 
(a)    Restricted cash primarily consists of funds restricted for annual Company contributions to the defined contribution plan in the U.S. and escrow for litigation settlements. Cash is restricted when withdrawal or general use is contractually or legally restricted. Restricted cash of $339 million as of September 30, 2021, was included in cash, cash equivalents and restricted cash in the consolidated statements of cash flows.

Dollars in MillionsSeptember 30,
2022
December 31, 2021
Rebates and discounts$6,839 $6,399 
Income taxes1,287 754 
Employee compensation and benefits1,008 1,375 
Research and development1,296 1,373 
Dividends1,148 1,186 
Interest311 378 
Royalties385 410 
Operating leases167 169 
Other1,762 1,927 
Other current liabilities$14,203 $13,971 

Dollars in MillionsSeptember 30,
2022
December 31, 2021
Income taxes $4,398 $4,835 
Pension and postretirement553 654 
Operating leases845 874 
Deferred income296 326 
Deferred compensation337 427 
Other256 218 
Other non-current liabilities$6,685 $7,334