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FAIR VALUE MEASUREMENT AND DERIVATIVE INSTRUMENTS (Tables)
9 Months Ended
Sep. 30, 2022
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Notional Amounts and Fair Value
The following table summarizes the gross notional amounts and fair values of the designated and non-designated hedges discussed in the above sections as of September 30, 2022, which are included in "Other current assets" and "Other accrued liabilities" on the Consolidated Balance Sheets:
Fair ValueGross Notional Amount
In millionsLevelDesignatedNon-DesignatedDesignatedNon-Designated
Foreign Exchange Contracts
Other current assets2$$— $458 $234 
Other current liabilities2(2)— 539 — 
Cross-currency Swaps
Other current liabilities2— — 12 — 
Total$$— $1,009 $234 
The following table summarizes the gross notional amounts and fair values 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 "Other accrued 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