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Supplemental Balance Sheet Information (Tables)
12 Months Ended
Dec. 31, 2022
Supplemental Balance Sheet Information [Abstract]  
Trade accounts receivable, net [Table Text Block]
Trade accounts receivable, net
 As of December 31,
(in millions)20222021
Trade accounts receivable$2,079 $1,886 
Allowance for credit losses(109)(108)
 $1,970 $1,778 

The following is a rollforward of our Allowance for credit losses:
Year Ended December 31,
(in millions)202220212020
Beginning balance$108 $105 $74 
Cumulative effect adjustment for adoption of ASU 2016-13n/an/a10 
Credit loss expense35 28 49 
Write-offs(35)(25)(27)
Ending balance$109 $108 $105 
Note: Effective January 1, 2020, we adopted FASB ASC Topic 326 using the modified retrospective method, which requires that we recognize credit loss reserves when financial assets are established if credit losses are expected over the asset’s contractual life.
Schedule of Inventory, Current Inventories
 As of December 31,
(in millions)20222021
Finished goods$1,171 $1,029 
Work-in-process147 128 
Raw materials548 452 
 $1,867 $1,610 
Schedule of Other Current Assets [Table Text Block] Other current assets
 As of December 31,
(in millions)20222021
Restricted cash and restricted cash equivalents$149 $188 
Derivative assets232 226 
Licensing arrangements60 132 
Other290 254 
 $731 $799 
Property, plant and equipment, net [Table Text Block] Property, plant and equipment, net
 As of December 31,
(in millions)20222021
Land$137 $109 
Buildings and improvements1,695 1,523 
Equipment, furniture and fixtures3,297 3,287 
Capital in progress598 605 
 5,728 5,525 
Less: accumulated depreciation3,282 3,273 
 $2,446 $2,252 
Schedule of Other Assets [Table Text Block] Other long-term assets
 As of December 31,
(in millions)20222021
Restricted cash equivalents$48 $55 
Operating lease right-of-use assets386 435 
Derivative assets149 169 
Investments407 412 
Licensing arrangements67 114 
Indemnification asset172 — 
Other271 225 
 $1,500 $1,410 
Schedule of Accrued Liabilities [Table Text Block] Accrued expenses
 As of December 31,
(in millions)20222021
Legal reserves$231 $264 
Payroll and related liabilities830 848 
Rebates352 350 
Contingent consideration74 289 
Other674 686 
 $2,160 $2,436 
Other Current Liabilities [Table Text Block] Other current liabilities
 As of December 31,
(in millions)20222021
Deferred revenue$220 $208 
Licensing arrangements79 138 
Taxes payable232 209 
Other230 228 
 $761 $783 
Other long-term liabilities [Table Text Block] Other long-term liabilities
 As of December 31,
(in millions)20222021
Accrued income taxes$597 $442 
Legal reserves212 284 
Contingent consideration75 197 
Licensing arrangements80 143 
Operating lease liabilities347 389 
Deferred revenue289 276 
Other434 489 
 $2,035 $2,220