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Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2025
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis
Assets Measured at Fair Value
September 30
December 31
2025
2024
Cash and cash equivalents
$3,256
$3,652
Short-term investments
750
Trading marketable securities
301
259
Level 1 - Assets
$3,557
$4,661
Available-for-sale marketable securities:
Corporate and asset-backed debt securities
$50
$53
United States agency debt securities
1
United States treasury debt securities
36
34
Certificates of deposit
1
3
Total available-for-sale marketable securities
$87
$91
Foreign currency exchange forward contracts
44
225
Level 2 - Assets
$131
$316
Total assets measured at fair value
$3,688
$4,977
Liabilities Measured at Fair Value
September 30
December 31
2025
2024
Deferred compensation arrangements
$301
$259
Level 1 - Liabilities
$301
$259
Foreign currency exchange forward contracts
$228
$77
Level 2 - Liabilities
$228
$77
Contingent consideration:
Beginning
$452
$289
Additions
123
208
Change in estimate and foreign exchange
15
8
Settlements
(76)
(53)
Ending
$514
$452
Level 3 - Liabilities
$514
$452
Total liabilities measured at fair value
$1,043
$788
Investments Classified by Contractual Maturity Date
Fair Value of Available for Sale Securities by Maturity
September 30
December 31
2025
2024
Due in one year or less
$50
$47
Due after one year through three years
$37
$44