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Note 6 - Supplemental Balance Sheet and Cash Flow Information - Supplemental Balance Sheet Information (Details) - USD ($)
$ in Millions
Dec. 31, 2021
Dec. 31, 2020
Other current assets:    
Prepaid expenses $ 147 $ 95
Other 49 32
Total 196 127
Other noncurrent assets:    
Marketable securities 0 49
Customer incentive payments 38 45
Prepaid expenses 2 2
Deferred financing costs 6 5
Pension assets, net of related obligations 15 3
Other 70 65
Total 131 169
Property, plant and equipment, net:    
Land and improvements to land 193 210
Buildings and building fixtures 590 646
Machinery and equipment 3,872 3,613
Finance lease right-of-use assets 64 72
Total cost 4,719 4,541
Less: accumulated depreciation (2,520) (2,290)
Net 2,199 2,251
Other accrued liabilities (current):    
Non-income taxes payable 54 56
Accrued interest 25 13
Warranty reserves 51 43
Deferred income 8 7
Workplace injury costs 5 6
Restructuring costs 11 30
Payable under forward contracts 1 9
Environmental 5 5
Other expense accruals 144 139
Total 304 308
Other noncurrent liabilities:    
Income tax liability 68 51
Interest rate swap market valuation 51 128
Deferred income tax liability 32 38
Workplace injury costs 15 15
Warranty reserves 56 55
Other noncurrent liabilities 70 81
Total $ 292 $ 368