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Financial Instruments - Losses (Gains) On Derivative Instruments - Cash-flow Hedges (Detail) - USD ($)
$ in Millions
3 Months Ended 8 Months Ended
Sep. 06, 2025
Jun. 14, 2025
Mar. 22, 2025
Sep. 07, 2024
Jun. 15, 2024
Mar. 23, 2024
Sep. 06, 2025
Sep. 07, 2024
Derivative Instruments, Loss (Gain) [Line Items]                
Other Comprehensive (Income) Loss, Cash Flow Hedge, (Gain) Loss, before Reclassification and Tax $ (35) $ (27) $ (58) $ 34 $ (3) $ 47    
Foreign exchange contracts | Cash flow hedges:                
Derivative Instruments, Loss (Gain) [Line Items]                
Other Comprehensive (Income) Loss, Cash Flow Hedge, (Gain) Loss, before Reclassification and Tax 8     (33)     $ 78 $ (48)
Foreign Currency Cash Flow Hedge (Gain) Loss Reclassified to Earnings, Net 13     (3)     (11) 15
Commodity Contracts [Member] | Cash flow hedges:                
Derivative Instruments, Loss (Gain) [Line Items]                
Other Comprehensive (Income) Loss, Cash Flow Hedge, (Gain) Loss, before Reclassification and Tax (38)     75     (138) 103
Price Risk Cash Flow Hedge (Gain) Loss Reclassified to Earnings, Net (10)     34     (15) 85
Cash flow hedges:                
Derivative Instruments, Loss (Gain) [Line Items]                
Other Comprehensive (Income) Loss, (Gain) Loss, before Reclassification and Tax (35)     27     (120) 74
Loss (Gain) on Cash Flow Hedge Recognized in Net Income, Net, Pretax (5)     10     (89) 114
Cross-currency contracts | Cash flow hedges:                
Derivative Instruments, Loss (Gain) [Line Items]                
Other Comprehensive (Income) Loss, Cash Flow Hedge, (Gain) Loss, before Reclassification and Tax (5)     (15)     (60) 19
Cross Currency Contracts Cash Flow Hedge (Gain) Loss Reclassified to Earnings, Net $ (8)     $ (21)     $ (63) $ 14