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PENSION AND POSTRETIREMENT BENEFIT PLANS (Tables)
12 Months Ended
Dec. 31, 2012
Pension and Postretirement Benefit Plans [Abstract]  
Schedule Of Net Benefit Costs [Table Text Block]
                    Pension Benefits                                       Other Benefits                   
Dollars in Millions2012 2011 2010 2012 2011 2010
Service cost — benefits earned during the year$ 32 $ 43 $ 44 $ 8 $ 8 $ 6
Interest cost on projected benefit obligation  319   337   347   22   26   30
Expected return on plan assets  (508)   (464)   (453)   (25)   (26)   (24)
Amortization of prior service cost/(benefit)  (3)   (1)   -   (2)   (3)   (3)
Amortization of net actuarial loss  129   112   95   10   7   10
Curtailments  (1)   (3)   5   -   (1)   -
Settlements  160   15   22   -   -   -
Special termination benefits  -   -   1   -   -   -
Total net periodic benefit cost$ 128 $ 39 $ 61 $ 13 $ 11 $ 19
Schedule Of Defined Benefit Obligations And Assets [Text Block]
          Pension Benefits                   Other Benefits         
Dollars in Millions2012 2011 2012 2011
Benefit obligations at beginning of year$ 7,499 $ 6,704 $ 582 $ 589
Service cost—benefits earned during the year  32   43   8   8
Interest cost  319   337   22   26
Plan participants’ contributions  2   3   24   25
Curtailments  (19)   (3)   -   (1)
Settlements  (260)   (41)   -   (2)
Plan amendments  (8)   (40)   -   (1)
Actuarial losses/(gains)  838   876   (107)   6
Retiree Drug Subsidy  -   -   6   12
Benefits paid  (227)   (386)   (76)   (79)
Exchange rate losses/(gains)  24   6   1   (1)
Benefit obligations at end of year$ 8,200 $ 7,499 $ 460 $ 582
            
Fair value of plan assets at beginning of year$ 5,842 $ 5,766 $ 305 $ 315
Actual return on plan assets  761   66   41   10
Employer contributions  396   432   11   24
Plan participants’ contributions  2   3   24   25
Settlements  (260)   (41)   -   (2)
Retiree Drug Subsidy  -   -   6   12
Benefits paid  (227)   (386)   (76)   (79)
Exchange rate gains/(losses)  28   2   -   -
Fair value of plan assets at end of year$ 6,542 $ 5,842 $ 311 $ 305
            
Funded status$ (1,658) $ (1,657) $ (149) $ (277)
            
Assets/Liabilities recognized:           
Other assets$ 22 $ 39 $ 12 $ -
Accrued expenses  (37)   (33)   (12)   (12)
Pension and other postretirement liabilities  (1,643)   (1,663)   (149)   (265)
Funded status$ (1,658) $ (1,657) $ (149) $ (277)
            
Recognized in accumulated other comprehensive loss:           
Net actuarial loss$ 4,572 $ 4,297 $ 34 $ 166
Net obligation at adoption  1   1   -   -
Prior service cost/(benefit)  (44)   (39)   (6)   (8)
Total$ 4,529 $ 4,259 $ 28 $ 158
Schedule Of Accumulated Benefit Obligations In Excess Of Fair Value Of Plan Assets [Table Text Block]
Dollars in Millions2012 2011
Pension plans with projected benefit obligations in excess of plan assets:     
 Projected benefit obligation$ 8,112 $ 7,236
 Fair value of plan assets  6,432   5,540
Pension plans with accumulated benefit obligations in excess of plan assets:     
 Accumulated benefit obligation$ 7,987 $ 6,867
 Fair value of plan assets  6,432   5,327
Schedule Of Defined Benefit Actuarial Assumptions Benefit Obligations [Text Block]
          Pension Benefits                   Other Benefits         
 2012 2011 2012 2011
Discount rate 3.7%  4.4%  3.0%  4.1%
Rate of compensation increase 2.3%  2.3%  2.0%  2.0%
Schedule Of Defined Benefit Actuarial Assumptions Net Periodic Benefit Cost [Text Block]
              Pension Benefits                           Other Benefits             
 2012 2011 2010 2012 2011 2010
Discount rate 4.4%  5.2%  5.6%  4.1%  4.8%  5.5%
Expected long-term return on plan assets 8.2%  8.3%  8.3%  8.8%  8.8%  8.8%
Rate of compensation increase 2.3%  2.4%  3.7%  2.0%  2.0%  3.5%
Schedule Of Defined Benefit Historical Long Term Actual Returns [Text Block]
 2012 2011 2010
10 years 8.5%  5.6%  4.7%
15 years 6.5%  7.0%  7.9%
20 years 8.5%  8.1%  9.3%
Schedule Of Health Care Cost Trend Rates [Table Text Block]
 2012 2011 2010
Healthcare cost trend rate assumed for next year 6.8%  7.4%  7.9%
Rate to which the cost trend rate is assumed to decline (the ultimate trend rate) 4.5%  4.5%  4.5%
Year that the rate reaches the ultimate trend rate2018 2018 2018
Schedule Of Effect Of One Percentage Point Change In Assumed Health Care Cost Trend Rates [Table Text Block]
 1-Percentage- 1-Percentage-
Dollars in MillionsPoint Increase Point Decrease
Effect on total of service and interest cost$ 1 $(1)
Effect on postretirement benefit obligation  25  (25)
Schedule Of Allocation Of Plan Assets [Table Text Block]
 December 31, 2012 December 31, 2011
Dollars in Millions Level 1     Level 2     Level 3    Total    Level 1     Level 2     Level 3    Total  
Equity Securities$2,196 $ - $ - $2,196 $1,679 $ - $ - $1,679
Equity Funds 410  1,555   -  1,965  236  1,559  4  1,799
Fixed Income Funds 234  401   -  635  203  419   -  622
Corporate Debt Securities  -  453  3  456   -  315  10  325
Venture Capital and Limited Partnerships  -   -  381  381   -   -  408  408
Government Mortgage Backed Securities  -  350   8  358   -  372   8  380
U.S. Treasury and Agency Securities  -  259   -  259   -  304   -  304
Short-Term Investment Funds  -  189   -  189   -  306   -  306
Insurance Contracts  -   -   132  132   -   -   125  125
Event Driven Hedge Funds  -  92   -  92   -  86   -  86
Collateralized Mortgage Obligation Bonds  -  50  6  56   -  63  7  70
State and Municipal Bonds  -  44   3  47   -  34   -  34
Asset Backed Securities  -   23  3  26   -  17  4  21
Real Estate  3   -   -  3   -  12   -  12
Cash and Cash Equivalents 58   -   -  58  (24)   -   -  (24)
Total plan assets at fair value$2,901 $3,416 $536 $6,853 $2,094 $3,487 $566 $6,147
Schedule of Level Three Defined Benefit Plan Assets Roll Forward [Table Text Block]
 Venture Capital         
 and Limited Insurance      
Dollars in MillionsPartnerships    Contracts Other Total
Fair value at January 1, 2011$ 415 $ 144 $ 39 $ 598
Purchases  53   8   5   66
Sales  (5)   (31)   (3)   (39)
Settlements  (48)   -   (4)   (52)
Realized (losses)/gains  56   -   3   59
Unrealized gains/(losses)  (63)   4   (7)   (66)
Fair value at December 31, 2011  408   125   33   566
Purchases  43   5   -   48
Sales  (8)   (7)   (10)   (25)
Settlements  (51)   -   (2)   (53)
Realized (losses)/gains  53   -   (4)   49
Unrealized gains/(losses)  (64)   9   6   (49)
Fair value at December 31, 2012$ 381 $ 132 $ 23 $ 536
Schedule Of Expected Benefit Payments [Table Text Block]
      
 Pension Other
Dollars in MillionsBenefits  Benefits 
2013$ 385 $ 47
2014  398   44
2015  401   42
2016  415   40
2017  422   37
Years 2018 – 2022  2,109   151