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Accumulated Other Comprehensive Loss - Additional Information (Details) - USD ($)
$ in Millions
3 Months Ended 8 Months Ended
Sep. 05, 2015
Sep. 06, 2014
Sep. 05, 2015
Sep. 06, 2014
Reclassification Adjustments out of Accumulated Other Comprehensive Income [Line Items]        
Reclassification associated with Venezuela impairment charges $ 111 $ 0 $ 111 $ 0
Losses/(gains) on cash flow hedges:        
Total before tax 6 109 88 130
Tax amounts (3) (37) (40) (46)
Net losses after tax 3 72 48 84
Amortization of pension and retiree medical items:        
Amortization of prior service credit (a) [1] (10) 0 (29) 0
Net actuarial losses [1] 65 52 193 153
Settlement/Curtailment - Reclassifications from AOCI [1] 3 3 3 3
Total before tax 58 55 167 156
Tax amounts (18) (18) (53) (51)
Reclassification associated with Venezuela impairment charges, net of tax - pension 16 0 16 0
Net losses after tax 40 37 114 105
Reclassification associated with Venezuela impairment charges - Pension 20 0 20 0
Reclassification associated with Venezuela impairment charge, tax amount - Pension (4) 0 (4) 0
Total net losses reclassified for the period, net of tax 170 109 289 189
Cash Flow Hedges        
Losses/(gains) on cash flow hedges:        
Losses/(gains) on cash flow hedges [2] 6 109 88 130
Cash Flow Hedges | Foreign exchange contracts        
Losses/(gains) on cash flow hedges:        
Losses/(gains) on cash flow hedges [2] (17) 5 (61) (6)
Cash Flow Hedges | Foreign exchange contracts | Sales Revenue, Net [Member]        
Losses/(gains) on cash flow hedges:        
Losses/(gains) on cash flow hedges     (2) 0
Cash Flow Hedges | Foreign exchange contracts | Cost of Sales        
Losses/(gains) on cash flow hedges:        
Losses/(gains) on cash flow hedges (17) 5 (59) (6)
Cash Flow Hedges | Interest rate derivatives        
Losses/(gains) on cash flow hedges:        
Losses/(gains) on cash flow hedges [2] 21 98 133 112
Cash Flow Hedges | Interest rate derivatives | Interest Expense        
Losses/(gains) on cash flow hedges:        
Losses/(gains) on cash flow hedges 21 98 133 112
Cash Flow Hedges | Commodity contracts        
Losses/(gains) on cash flow hedges:        
Losses/(gains) on cash flow hedges [2] 2 6 16 24
Cash Flow Hedges | Commodity contracts | Cost of Sales        
Losses/(gains) on cash flow hedges:        
Losses/(gains) on cash flow hedges   5 8 24
Cash Flow Hedges | Commodity contracts | Selling, General and Administrative Expenses        
Losses/(gains) on cash flow hedges:        
Losses/(gains) on cash flow hedges $ 2 $ 1 $ 8 $ 0
[1] These items are included in the components of net periodic benefit cost for pension and retiree medical plans (see Note 7 for additional details).
[2] Foreign exchange derivative gains/losses are primarily included in cost of sales. Interest rate derivative gains/losses are included in interest expense. Commodity derivative gains/losses are included in either cost of sales or selling, general and administrative expenses, depending on the underlying commodity.