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FINANCIAL INSTRUMENTS AND FAIR VALUE MEASUREMENTS (Narrative) (Details) - USD ($)
3 Months Ended 12 Months Ended
Jun. 30, 2023
Jun. 30, 2023
Jun. 30, 2022
Jun. 30, 2021
May 31, 2022
Derivative [Line Items]          
Maximum contract duration (in years)   2 years      
Maximum duration, interest rate contracts (in years)   3 years      
Cash flow hedge gain (loss) to be reclassified within twelve months   $ 11,000,000      
Derivative instruments subject to contractually defined counterparty liability position limits $ 1,000,000 1,000,000 $ 0    
Asset impairment charges   445,000,000 0 $ 329,000,000  
Goodwill impairment   306,000,000      
Asset and other asset impairment charges       343,000,000  
Other asset impairment charges       22,000,000  
VMS reporting unit          
Derivative [Line Items]          
Asset impairment charges   433,000,000   329,000,000  
Goodwill impairment 306,000,000 306,000,000   228,000,000  
Senior Long-Term Notes And Debentures; 4.40%, $500 Due May 2029          
Derivative [Line Items]          
Face value 500,000,000 500,000,000      
Senior Long-Term Notes And Debentures; 4.60%, $600 Due May 2032          
Derivative [Line Items]          
Face value 600,000,000 600,000,000      
Senior Notes          
Derivative [Line Items]          
Face value         $ 1,100,000,000,000
Senior Notes | Senior Long-Term Notes And Debentures; 4.40%, $500 Due May 2029          
Derivative [Line Items]          
Face value         500,000,000
Senior Notes | Senior Long-Term Notes And Debentures; 4.60%, $600 Due May 2032          
Derivative [Line Items]          
Face value         $ 600,000,000
Trademarks          
Derivative [Line Items]          
Intangible asset impairment charges   139,000,000      
Trademarks | VMS reporting unit          
Derivative [Line Items]          
Intangible asset impairment charges   $ 127,000,000   $ 93,000,000  
Interest rate derivative contracts          
Derivative [Line Items]          
Derivative, notional amount, additional contracts     650,000,000    
Settlement of interest rate derivative contracts     114,000,000    
Interest rate derivative contracts | Senior Long-Term Notes And Debentures; 4.40%, $500 Due May 2029          
Derivative [Line Items]          
Settlement of interest rate derivative contracts     $ 25,000,000    
Amortization period of settlement payment (in years)     7 years    
Interest rate derivative contracts | Senior Long-Term Notes And Debentures; 4.60%, $600 Due May 2032          
Derivative [Line Items]          
Settlement of interest rate derivative contracts     $ 89,000,000    
Amortization period of settlement payment (in years)     10 years    
Total Commodity Purchase Derivative Contracts          
Derivative [Line Items]          
Maximum duration, commodity contracts (in years)   2 years      
Derivative, notional amount 41,000,000 $ 41,000,000 $ 27,000,000    
Jet Fuel Swaps          
Derivative [Line Items]          
Derivative, notional amount 12,000,000 12,000,000 9,000,000    
Soybean Oil Futures          
Derivative [Line Items]          
Derivative, notional amount 29,000,000 29,000,000 18,000,000    
Soybean Oil Futures | Commodity purchase derivative contracts          
Derivative [Line Items]          
Cash margin balances amount 0 0 1,000,000    
Purchases of Inventory | Foreign exchange derivative contracts          
Derivative [Line Items]          
Derivative, notional amount $ 51,000,000 51,000,000 $ 31,000,000    
Other assets | Carrying Amount | Fair Value, Inputs, Level 1 | Trust assets for nonqualified deferred compensation plans          
Derivative [Line Items]          
Increase in deferred compensation plan   $ 10,000,000