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Available-For-Sale Investments (Tables)
6 Months Ended 12 Months Ended
Jun. 30, 2011
Dec. 31, 2010
Available-For-Sale Investments    
Summary Of Fair Value Of Available-For-Sale Investments
 
Amortized cost
 
Fair value
 
June 30,
2011
 
December 31,
2010
 
June 30,
2011
 
December 31,
2010
Bonds, notes and other securities:
                     
U.S. government and agencies
$
1,733
 
$
1,734
 
$
1,737
 
$
1,737
Other debt securities
 
5
   
11
   
11
   
15
Total short-term investments
$
1,738
 
$
1,745
 
$
1,748
 
$
1,752
Asset-backed securities
$
61
 
$
64
 
$
41
 
$
45
Total long-term investments
$
61
 
$
64
 
$
41
 
$
45
 
Summary Of Contractual Maturities Of Available-For-Sale Securities
The following table summarizes the maturities at market value of available-for-sale securities at June 30, 2011 (in millions):
Less than one year
$1,385
Due in 1-5 years
352
Due in 5-10 years
0
Due after 10 years (1)
52
Total
$1,789

(1)
Includes $41 million of asset-based securities that mature over time and are being reported at their final maturity dates.

 
Fair Value And Gross Unrealized Losses Of Investments By Length Of Time In Continuous Unrealized Loss Position
Reconciliation Of The Changes In Credit Losses Recognized In Earnings
 
2011
 
2010
Beginning balance of credit losses, January 1
$ 4
 
$ 2
Additions for credit losses not previously recognized in earnings
   0
 
   0
Balance of credit losses, March 31
$ 4
 
$ 2
Additions for credit losses not previously recognized in earnings
   1
 
   1
Ending balance of credit losses, June 30
$ 5
 
$ 3