XML 75 R59.htm IDEA: XBRL DOCUMENT v3.10.0.1
RESTRUCTURING RESERVES - Summary Of Restructuring Reserve Activity (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Restructuring Reserve    
Beginning balance $ 82 $ 28
Restructuring costs, net of (gains) 47 116
Cash (paid) received (19) (23)
Non-cash, translation and others (63) (39)
Ending balance 47 82
Current assets write-downs    
Restructuring Reserve    
Beginning balance 13 0
Restructuring costs, net of (gains) 4 14
Cash (paid) received (1) (1)
Non-cash, translation and others (16) 0
Ending balance 0 13
Property, buildings and equipment write-downs and disposals    
Restructuring Reserve    
Beginning balance 1 0
Restructuring costs, net of (gains) (10) 0
Cash (paid) received 44 24
Non-cash, translation and others (35) (23)
Ending balance 0 1
Involuntary employee termination costs    
Restructuring Reserve    
Beginning balance 50 24
Restructuring costs, net of (gains) 40 59
Cash (paid) received (57) (34)
Non-cash, translation and others (2) 1
Ending balance 31 50
Lease termination costs    
Restructuring Reserve    
Beginning balance 5 3
Restructuring costs, net of (gains) 12 6
Cash (paid) received (4) (4)
Non-cash, translation and others (2) 0
Ending balance 11 5
Other costs    
Restructuring Reserve    
Beginning balance 13 1
Restructuring costs, net of (gains) 1 37
Cash (paid) received (1) (8)
Non-cash, translation and others (8) (17)
Ending balance $ 5 $ 13