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FAIR VALUE MEASUREMENT AND DERIVATIVE INSTRUMENTS (Tables)
12 Months Ended
Dec. 31, 2021
Fair Value Disclosures [Abstract]  
Liabilities Carried at Fair Value Measured on Recurring Basis
The following table summarizes the assets, liabilities, gross notional amounts, fair values, and fair value hierarchy classification of the designated and non-designated hedges discussed in the above sections as of December 31, 2021, which are included in other current assets and liabilities on the Consolidated Balance Sheets:
Fair ValueGross Notional Amount
In millionsLevelDesignatedNon-DesignatedDesignatedNon-Designated
Foreign Exchange Contracts
Other current assets2$$— $627 $— 
Other current liabilities2(1)(2)613 289 
Cross-currency Swaps
Other current assets2— — 14 — 
Total$$(2)$1,254 $289 
The following table summarizes the assets, liabilities, gross notional amounts, fair values, and fair value hierarchy classification of the designated and non-designated hedges discussed in the above sections as of December 31, 2020, which are included in other current assets and liabilities on the Consolidated Balance Sheets:
Fair ValueGross Notional Amount
In millionsLevelDesignatedNon-DesignatedDesignatedNon-Designated
Foreign Exchange Contracts
Other current assets2$$$794 $
Other current liabilities2(4)(2)928 320 
Cross-currency Swaps
Other current liabilities2(26)— 613 — 
Total$(21)$(1)$2,335 $321