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Restructuring and Related Activities (Tables)
9 Months Ended
Sep. 30, 2024
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Reserve by Type of Cost [Table Text Block]
The following table summarizes the activities related to the 2023 Restructuring Program, including segment information:

2023 Restructuring ProgramSeverance and Related Benefit CostsAsset Write-downs and Write-offsTotal
In millions
Packaging & Specialty Plastics$— $$
Industrial Intermediates & Infrastructure— 40 40 
Performance Materials & Coatings— 49 49 
Corporate344 107 451 
Total restructuring charges$344 $197 $541 
Charges against the reserve— (197)(197)
Cash payments(11)— (11)
Reserve balance at Mar 31, 2023$333 $— $333 
Industrial Intermediates & Infrastructure$— $$
Total restructuring charges$— $$
Charges against the reserve— (8)(8)
Cash payments(60)— (60)
Reserve balance at Jun 30, 2023$273 $— $273 
Cash payments(110)— (110)
Reserve balance at Sep 30, 2023$163 $— $163 
Industrial Intermediates & Infrastructure$— $$
Corporate— (16)(16)
Total restructuring charges$— $(14)$(14)
Charges against the reserve— 14 14 
Cash payments(41)— (41)
Reserve balance at Dec 31, 2023$122 $— $122 
Industrial Intermediates & Infrastructure$— $$
Total restructuring charges$— $$
Charges against the reserve— (8)(8)
Cash payments(48)— (48)
Reserve balance at Mar 31, 2024$74 $— $74 
Cash payments$(13)$— $(13)
Reserve balance at Jun 30, 2024$61 $— $61 
Performance Materials & Coatings$— $$
Corporate16 17 
Total restructuring charges$16 $$24 
Charges against the reserve— (8)(8)
Cash payments(17)— (17)
Reserve balance at Sep 30, 2024$60 $— $60