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Supplemental Financial Information (Tables)
3 Months Ended
Mar. 31, 2023
Supplemental Financial Information [Abstract]  
Schedule of Other Current Assets
Dollars in millionsMarch 31,
2023
December 31, 2022
Income taxes$2,846 $3,547 
Research and development704 579 
Contract assets505 504 
Restricted cash(a)
53 148 
Other1,050 1,017 
Other current assets$5,158 $5,795 
Schedule of Other Assets, Noncurrent
Dollars in millionsMarch 31,
2023
December 31, 2022
Equity investments$2,005 $2,187 
Inventories523 484 
Operating leases1,326 1,220 
Pension and postretirement299 285 
Research and development485 496 
Restricted cash(a)
— 54 
Other230 214 
Other non-current assets$4,868 $4,940 
(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. As of March 31, 2022 restricted cash was $210 million.
Schedule of Other Current Liabilities
Dollars in millionsMarch 31,
2023
December 31, 2022
Rebates and discounts$5,824 $6,702 
Income taxes1,209 942 
Employee compensation and benefits589 1,425 
Research and development1,277 1,359 
Dividends1,197 1,196 
Interest319 321 
Royalties409 431 
Operating leases171 136 
Other2,144 2,074 
Other current liabilities$13,139 $14,586 
Other Noncurrent Liabilities
Dollars in millionsMarch 31,
2023
December 31, 2022
Income taxes $3,907 $3,992 
Pension and postretirement399 402 
Operating leases1,370 1,261 
Deferred income308 283 
Deferred compensation387 349 
Other293 303 
Other non-current liabilities$6,664 $6,590