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Restructuring Actions (Tables)
12 Months Ended
Dec. 31, 2023
Restructuring and Related Activities [Abstract]  
Schedule of restructuring and related costs
The related restructuring charges for periods presented were recorded in the income (loss) statement as follows:
(Millions)2023
Cost of sales$101 
Selling, general and administrative expenses304 
Research, development and related expenses32 
Total operating income impact$437 
The business segment operating income (loss) impact of these restructuring charges is summarized as follows:
2023
(Millions)Employee RelatedAsset-Related and OtherTotal
Safety and Industrial$89 $— $89 
Transportation and Electronics62 — 62 
Health Care22 — 22 
Consumer26 — 26 
Corporate and unallocated171 67 238 
Total operating expense$370 $67 $437 
Schedule of restructuring reserve by type of cost
Restructuring actions, including cash and non-cash impacts, follow:
(Millions)Employee-RelatedAsset-Related and OtherTotal
Expense incurred in 2023
370 67 437 
Non-cash changes— (67)(67)
Adjustments
(10)— (10)
Cash payments(261)— (261)
Accrued restructuring action balance as of December 31, 2023
$99 $— $99