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Special Charges - First Quarter 2021 (Details)
$ in Millions
3 Months Ended 15 Months Ended
Apr. 03, 2021
USD ($)
borrowingGroup
Apr. 04, 2020
USD ($)
Apr. 03, 2021
USD ($)
2020 Restructuring Plan      
Special charges $ 6 $ 39  
Asset impairments 3 $ 39  
2020 COVID-19 Restructuring Plan      
2020 Restructuring Plan      
Special charges 6   $ 114
Asset impairments $ 24    
Number of positions eliminated | borrowingGroup 2,700    
2020 COVID-19 Restructuring Plan | Corporate      
2020 Restructuring Plan      
Special charges $ 4    
2020 COVID-19 Restructuring Plan | Textron Systems | Operating Segment      
2020 Restructuring Plan      
Special charges 37    
2020 COVID-19 Restructuring Plan | Industrial | Operating Segment      
2020 Restructuring Plan      
Special charges 40    
2020 COVID-19 Restructuring Plan | Textron Aviation | Operating Segment      
2020 Restructuring Plan      
Special charges 33    
2020 COVID-19 Restructuring Plan | Severance Costs      
2020 Restructuring Plan      
Restructuring costs 73    
2020 COVID-19 Restructuring Plan | Contract Terminations and Others      
2020 Restructuring Plan      
Restructuring costs 17    
Minimum | 2020 COVID-19 Restructuring Plan      
2020 Restructuring Plan      
Total expected restructuring plan cost 14   14
Maximum | 2020 COVID-19 Restructuring Plan      
2020 Restructuring Plan      
Total expected restructuring plan cost $ 24   $ 24