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Restructuring and Related Activities (Tables)
3 Months Ended
Mar. 31, 2022
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 2020 Restructuring Program since January 1, 2021:
2020 Restructuring ProgramSeverance and Related Benefit CostsAsset Write-downs and Write-offsCosts Associated with Exit and Disposal ActivitiesTotal
In millions
Reserve balance at Jan 1, 2021$289 $— $75 $364 
Cash payments(37)— (12)(49)
Reserve balance at Mar 31, 2021$252 $— $63 $315 
Packaging & Specialty Plastics$— $— $$
Industrial Intermediates & Infrastructure— — 
Performance Materials & Coatings— 10 
Corporate— — 
Total restructuring charges$— $12 $10 $22 
Charges against the reserve— (12)— (12)
Cash payments(53)— (3)(56)
Reserve balance at Jun 30, 2021$199 $— $70 $269 
Cash payments(55)— (2)(57)
Reserve balance at Sep 30, 2021$144 $— $68 $212 
Restructuring charges - Corporate$(10)$— $— $(10)
Cash payments(30)— (4)(34)
Reserve balance at Dec 31, 2021$104 $— $64 $168 
Cash payments(59)— (1)(60)
Reserve balance at Mar 31, 2022$45 $— $63 $108