XML 45 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2014
Fair Value Measurements  
Fair Value, Assets and Liabilities Measured on Recurring Basis
       Fair Value Measurements
(Millions)Fair Value atUsing Inputs Considered as
Description June 30, 2014 Level 1 Level 2 Level 3
Assets:        
Available-for-sale:        
 Marketable securities:        
  U.S. government agency securities  $ 148 $ $ 148 $
  Foreign government agency securities    120     120  
  Corporate debt securities    796     796  
  Certificates of deposit/time deposits    48     48  
  Asset-backed securities:            
   Automobile loan related    537     537  
   Credit card related    222     222  
   Equipment lease related    88     88  
   Other    68     68  
  U.S. treasury securities    49   49    
  Auction rate securities    12       12
 Investments    1   1    
Derivative instruments — assets:            
 Foreign currency forward/option contracts    52   52    
 Commodity price swap contracts    1   1    
 Interest rate swap contracts    17     17  
                
Liabilities:            
Derivative instruments — liabilities:            
 Foreign currency forward/option contracts    54   54    
 Commodity price swap contracts    1   1    
 Interest rate swap contracts    2     2  

     Fair Value at Fair Value Measurements
(Millions)December 31, 2013Using Inputs Considered as
Description   Level 1 Level 2 Level 3
Assets:        
Available-for-sale:        
 Marketable securities:        
  U.S. government agency securities $ 234 $ $ 234 $
  Foreign government agency securities    125     125  
  Corporate debt securities    781     781  
  Certificates of deposit/time deposits    40     40  
  Commercial paper    60     60  
  Asset-backed securities:            
   Automobile loan related    585     585  
   Credit card related    180     180  
   Equipment lease related    67     67  
   Other    75     75  
  U.S. treasury securities    49   49    
  U.S. municipal securities    2     2  
  Auction rate securities    11       11
 Investments    2   2    
Derivative instruments — assets:            
 Foreign currency forward/option contracts    75   75    
 Commodity price swap contracts    1   1    
 Interest rate swap contracts    8     8  
                
Liabilities:            
Derivative instruments — liabilities:            
 Foreign currency forward/option contracts    103   103    
 Interest rate swap contracts    7     7  
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation
   Three months ended Six months ended
(Millions)June 30,June 30,
Marketable securities – auction rate securities only 2014 2013 2014 2013
Beginning balance  $ 12 $ 7 $ 11 $ 7
Total gains or losses:            
 Included in earnings         
 Included in other comprehensive income      3   1   3
Purchases, issuances, and settlements         
Transfers in and/or out of Level 3         
Ending balance   12   10   12   10
              
Change in unrealized gains or losses for the period included in            
 earnings for securities held at the end of the reporting period        
Fair Value of Financial Instruments by Balance Sheet Grouping
   June 30, 2014  December 31, 2013
   Carrying Fair Carrying Fair
(Millions)ValueValueValue Value
Eurobond securities due July 2014 $ 1,396 $ 1,398 $ 1,424 $ 1,447
Long-term debt, excluding current portion   5,323   5,575   4,326   4,463