XML 51 R23.htm IDEA: XBRL DOCUMENT v3.6.0.2
Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2016
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis
Assets and Liabilities Measured at Fair Value
 
2016
2015
Cash and cash equivalents
$
3,316

$
3,379

Trading marketable securities
94

82

Level 1 - Assets
$
3,410

$
3,461

Available-for-sale marketable securities:
 
 
Corporate and asset-backed debt securities
$
25

$
214

Foreign government debt securities

96

United States agency debt securities
9

120

United States treasury debt securities
16

264

Certificates of deposit
18

8

Total available-for-sale marketable securities
$
68

$
702

Foreign currency exchange forward contracts
45

69

Interest rate swap asset
57

15

Level 2 - Assets
$
170

$
786

Total assets measured at fair value
$
3,580

$
4,247

 
 
 
Deferred compensation arrangements
$
94

$
82

Level 1 - Liabilities
$
94

$
82

Foreign currency exchange forward contracts
$
18

$
10

Interest rate swap liability

4

Level 2 - Liabilities
$
18

$
14

Contingent consideration:
 
 
Beginning balance
$
56

$
48

Additions
49

11

Change in estimate
(7
)

Settlements
(12
)
(3
)
Balance at the end of the period
$
86

$
56

Level 3 - Liabilities
$
86

$
56

Total liabilities measured at fair value
$
198

$
152

Available-for-sale Securities
Fair Value of Available for Sale Securities by Maturity
 
2016
2015
Due in one year or less
$
36

$
588

Due after one year through three years
$
32

$
114

Available-for-sale Securities, Continuous Unrealized Loss Position, Fair Value
Securities in a Continuous Unrealized Loss Position
 
Number of Investments
Fair Value
Corporate and Asset-Backed
33
$
11

United States Agency
8
5

United States Treasury
19
15

Certificate of Deposit
5
2

Total
65
$
33