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FINANCIAL INSTRUMENTS AND FAIR VALUE MEASUREMENTS - Gain/(Loss) on Hedging Activity (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2024
Jun. 30, 2023
Foreign exchange contracts gain/(loss):        
Recognized in Other comprehensive (loss)/income $ 84 $ 94 $ 338 $ 81
Reclassified to net earnings, pretax (20) (86) (35) (219)
Non-U.S. dollar borrowings gain/(loss):        
Recognized in Other comprehensive (loss)/income (37) (4) (81) 31
Designated as cash flow hedges        
Non-U.S. dollar borrowings gain/(loss):        
Recognized in Other comprehensive (loss)/income 0 0 0 (10)
Foreign currency exchange contracts        
Foreign exchange contracts gain/(loss):        
Recognized in Other comprehensive (loss)/income 102 60 241 53
Derivatives designated as net investment hedges        
Recognized in Other comprehensive (loss)/income 18 0 41 0
Foreign currency exchange contracts | Cost of products sold        
Foreign exchange contracts gain/(loss):        
Reclassified to net earnings, pretax (29) (90) (74) (210)
Cross-currency swap contracts        
Foreign exchange contracts gain/(loss):        
Recognized in Other comprehensive (loss)/income (18) 34 (34) 28
Derivatives designated as net investment hedges        
Recognized in Other comprehensive (loss)/income 23 34 50 35
Cross-currency swap contracts | Other (income)/expense, net        
Foreign exchange contracts gain/(loss):        
Reclassified to net earnings, pretax 10 4 41 (9)
Interest rate swap contracts        
Foreign exchange contracts gain/(loss):        
Recognized in Other comprehensive (loss)/income 0 0 131 0
Interest rate swap contracts | Other operating income (expense)        
Foreign exchange contracts gain/(loss):        
Reclassified to net earnings, pretax $ (1) $ 0 $ (2) $ 0