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Restructuring, Impairment And Other Charges (Credits) (Tables)
9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Restructuring, Impairment And Other Charges (Credits)  
Restructuring Reserve Activity
 
Reserve at
January 1,
2011
 
Cash
payments
 
Reserve at
September 30,
2011
Restructuring:
               
Employee related costs
$
15   
 
$
(12)
 
$
3
Other charges (credits)
 
12   
   
(3)
   
9
Total restructuring activity
$
27   
 
$
(15)
 
$
12
 
Reserve at
January 1,
2010
 
Non-cash
adjustments
 
Net
charges/
(reversals)
 
Cash
payments
 
Reserve at
September 30,
2010
Restructuring:
                           
Employee related costs
$
80
 
$
(2)
 
$
(3)
 
$
(52)
 
$
23
Other charges (credits)
 
20
               
(6)
   
14
Total restructuring activity
$
100
 
$
(2)
 
$
(3)
 
$
(58)
 
$
37