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Supplemental Data (Tables)
12 Months Ended
Dec. 31, 2012
Supplemental Income Statement Data
 
Year Ended December 31
 
2012
 
2011
 
2010
Advertising expense
$
810

 
$
686

 
$
698

Research expense
356

 
316

 
317

Foreign currency transaction (gains) losses, net
(14
)
 
(27
)
 
20

Supplemental Cash Flow Data
Summary of Cash Flow Effects of Decrease (Increase) in Operating Working Capital
Year Ended December 31
2012
 
2011
 
2010
Accounts receivable
$
(38
)
 
$
(169
)
 
$
45

Inventories
9

 
9

 
(341
)
Prepaid expenses
1

 
(19
)
 
10

Trade accounts payable
45

 
161

 
263

Accrued expenses
133

 
(91
)
 
(122
)
Accrued income taxes
13

 
(107
)
 
180

Derivatives
(86
)
 
33

 
(61
)
Currency
42

 
(79
)
 
50

Decrease (increase) in operating working capital
$
119

 
$
(262
)
 
$
24

 
Year Ended December 31
Other Cash Flow Data
2012
 
2011
 
2010
Interest paid
$
299

 
$
273

 
$
248

Income taxes paid
451

 
463

 
582


Accounts Receivable, Net [Member]
 
Supplemental Balance Sheet Data
 
December 31
Summary of Accounts Receivable, Net
2012
 
2011
Accounts Receivable:
 
 
 
From customers
$
2,346

 
$
2,352

Other
376

 
328

Less allowance for doubtful accounts and sales discounts
(80
)
 
(78
)
Total
$
2,642

 
$
2,602

Inventories [Member]
 
Supplemental Balance Sheet Data
 
December 31
 
2012
 
2011
Summary of Inventories
LIFO
 
Non-
LIFO
 
Total
 
LIFO
 
Non-
LIFO
 
Total
Inventories by Major Class:
 
 
 
 
 
 
 
 
 
 
 
At the lower of cost determined on the FIFO or weighted-average cost methods or market:
 
 
 
 
 
 
 
 
 
 
 
Raw materials
$
148

 
$
346

 
$
494

 
$
163

 
$
334

 
$
497

Work in process
194

 
135

 
329

 
245

 
126

 
371

Finished goods
656

 
786

 
1,442

 
708

 
760

 
1,468

Supplies and other

 
314

 
314

 

 
300

 
300

 
998

 
1,581

 
2,579

 
1,116

 
1,520

 
2,636

Excess of FIFO or weighted-average cost over LIFO cost
(231
)
 

 
(231
)
 
(280
)
 

 
(280
)
Total
$
767

 
$
1,581

 
$
2,348

 
$
836

 
$
1,520

 
$
2,356

Accrued Liabilities [Member]
 
Supplemental Balance Sheet Data
 
December 31
Summary of Accrued Expenses
2012
 
2011
Accrued advertising and promotion
$
372

 
$
377

Accrued salaries and wages
456

 
380

Accrued rebates
340

 
344

Accrued taxes - income and other
336

 
266

Other
740

 
659

Total
$
2,244

 
$
2,026

Property, Plant and Equipment, Net [Member]
 
Supplemental Balance Sheet Data
 
December 31
Summary of Property, Plant and Equipment, Net
2012
 
2011
Property, Plant and Equipment:
 
 
 
Land
$
199

 
$
193

Buildings
2,732

 
2,858

Machinery and equipment
13,993

 
14,676

Construction in progress
732

 
513

 
17,656

 
18,240

Less accumulated depreciation
(9,561
)
 
(10,191
)
Total
$
8,095

 
$
8,049

Other Cash Flow Data and Interest Expense [Member]
 
Supplemental Cash Flow Data
 
Year Ended December 31
Other Cash Flow Data
2012
 
2011
 
2010
Interest paid
$
299

 
$
273

 
$
248

Income taxes paid
451

 
463

 
582


 
Year Ended December 31
Interest Expense
2012
 
2011
 
2010
Gross interest cost
$
293

 
$
285

 
$
255

Capitalized interest on major construction projects
(9
)
 
(8
)
 
(12
)
Interest expense
$
284

 
$
277

 
$
243