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Equity (Tables)
6 Months Ended
Jun. 30, 2026
Equity [Abstract]  
Schedule of Share Purchases
Our Board authorized us to purchase shares of our outstanding common stock under various programs with no expiration dates as follows (in millions):
Program NameAuthorization
Date
Total Cost
Authorized
Completion of
Authorized Share
Purchases
Remaining
Available for
Purchase as of
June 30, 2026
September 2024 ProgramSeptember 19, 2024$2,500 Second quarter of 2026$— 
February 2026 ProgramFebruary 25, 20262,500 n/a1,422 
Schedule of Changes in Components of Accumulated Other Comprehensive Loss
Changes in accumulated other comprehensive loss by component, net of tax, were as follows (in millions):
Three Months Ended June 30,
20262025
Foreign
Currency
Translation
Adjustment
Defined
Benefit
Plans
Items
Gains
(Losses)
on
Cash Flow
Hedges
TotalForeign
Currency
Translation
Adjustment
Defined
Benefit
Plans
Items
Gains
(Losses)
on
Cash Flow
Hedges
Total
Balance as of beginning
of period
$(792)$127 $(47)$(712)$(1,102)$(2)$(5)$(1,109)
Other comprehensive
income (loss) before
reclassifications
(15)— 16 554 — 555 
Amounts reclassified
from accumulated
other comprehensive
loss
— (2)40 38 — (2)(2)(4)
Effect of exchange rates— — — — — — 
Other comprehensive
income (loss)
(15)(2)56 39 554 (1)556 
Balance as of end of
period
$(807)$125 $$(673)$(548)$$(6)$(553)

Six Months Ended June 30,
20262025
Foreign
Currency
Translation
Adjustment
Defined
Benefit
Plans
Items
Gains
(Losses)
on
Cash Flow
Hedges
TotalForeign
Currency
Translation
Adjustment
Defined
Benefit
Plans
Items
Losses
on
Cash Flow
Hedges
Total
Balance as of beginning
of period
$(602)$130 $$(469)$(1,264)$(2)$(6)$(1,272)
Other comprehensive
income (loss) before
reclassifications
(205)— (58)(263)716 — — 716 
Amounts reclassified
from accumulated
other comprehensive
loss
— (3)64 61 — (4)— (4)
Effect of exchange rates— (2)— (2)— — 
Other comprehensive
income (loss)
(205)(5)(204)716 — 719 
Balance as of end of
period
$(807)$125 $$(673)$(548)$$(6)$(553)