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Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2025
Fair Value Disclosures [Abstract]  
Schedule of fair value, assets and liabilities measured on recurring basis
Assets and liabilities measured at fair value on a recurring basis consisted of the following:
Fair Value
(In millions)ClassificationFair Value HierarchyJune 30,
2025
December 31,
2024
Assets
Cross-currency rate swap contract designated as net investment hedgePrepaid expenses and other current assetsLevel 2$— $
Cross-currency rate swap contract designated as fair value hedgePrepaid expenses and other current assetsLevel 247 — 
Cross-currency rate swap contracts designated as net investment hedgesOther long-term assetsLevel 2— 
Liabilities
Cross-currency rate swap contract designated as fair value hedgeAccounts payable and other current liabilitiesLevel 2$— $12 
Cross-currency rate swap contracts designated as net investment hedgesAccounts payable and other current liabilitiesLevel 2
Forward exchange contracts designated as cash flow hedgesAccounts payable and other current liabilitiesLevel 2
Forward exchange contracts designated as cash flow hedgesOther long-term liabilitiesLevel 2— 
Cross-currency rate swap contracts designated as net investment hedgesOther long-term liabilitiesLevel 2120 17 
Contingent considerationAccounts payable and other current liabilitiesLevel 3— 
Contingent considerationOther long-term liabilitiesLevel 321 — 
Obligation to purchase redeemable noncontrolling interestAccounts payable and other current liabilities
Level 3
95 95 
Contingent debt guarantee Other long-term liabilitiesLevel 310 15