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Pensions and Other Postretirement Benefit Plans - Reconciliation of Benefit Obligations and Plan Assets (Details) - Pension Plans, Defined Benefit - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
United States      
Defined Benefit Plan Disclosure [Line Items]      
Accumulated benefit obligation $ 995 $ 1,260  
Change in projected benefit obligations      
Projected benefit obligation at beginning of year 1,260 1,302  
Acquisitions 0 0  
Service costs 0 0 $ 0
Interest costs 27 23 35
Settlements 0 0  
Plan participants' contributions 0 0  
Actuarial (gains) losses (210) 20  
Benefits paid (82) (85)  
Currency translation and other 0 0  
Projected benefit obligation at end of year 995 1,260 1,302
Change in fair value of plan assets      
Fair value of plan assets at beginning of year 1,226 1,267  
Acquisitions 0 0  
Actual return on plan assets (212) 37  
Employer contributions 5 7  
Settlements 0 0  
Plan participants' contributions 0 0  
Benefits paid (82) (85)  
Currency translation and other 0 0  
Fair value of plan assets at end of year 937 1,226 1,267
Funded status (58) (34)  
Amounts recognized in balance sheet      
Noncurrent assets 0 32  
Current liability (6) (7)  
Noncurrent liabilities (52) (59)  
Net amount recognized (58) (34)  
Amounts recognized in accumulated other comprehensive items      
Net actuarial loss 200 157  
Prior service credits 0 0  
Net amount recognized 200 157  
Foreign Plan      
Defined Benefit Plan Disclosure [Line Items]      
Accumulated benefit obligation 1,016 1,475  
Change in projected benefit obligations      
Projected benefit obligation at beginning of year 1,552 1,486  
Acquisitions 51 170  
Service costs 34 27 24
Interest costs 20 11 18
Settlements (31) (7)  
Plan participants' contributions 9 6  
Actuarial (gains) losses (447) (57)  
Benefits paid (19) (30)  
Currency translation and other (100) (54)  
Projected benefit obligation at end of year 1,069 1,552 1,486
Change in fair value of plan assets      
Fair value of plan assets at beginning of year 1,302 1,160  
Acquisitions 14 158  
Actual return on plan assets (347) 14  
Employer contributions 36 27  
Settlements (31) (7)  
Plan participants' contributions 9 6  
Benefits paid (19) (30)  
Currency translation and other (96) (26)  
Fair value of plan assets at end of year 868 1,302 $ 1,160
Funded status (201) (250)  
Amounts recognized in balance sheet      
Noncurrent assets 81 205  
Current liability (11) (10)  
Noncurrent liabilities (271) (445)  
Net amount recognized (201) (250)  
Amounts recognized in accumulated other comprehensive items      
Net actuarial loss 74 167  
Prior service credits (4) (3)  
Net amount recognized $ 70 $ 164