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ACCOUNTING POLICIES (Tables)
12 Months Ended
Dec. 31, 2013
ACCOUNTING POLICIES  
Schedule of impact of the revisions on the Company's previously issued financial statements

 The following table presents the impact of the revisions on the Company's previously issued consolidated balance sheets (in millions).

Balance Sheet December 31, 2012
  As Reported   As Revised  

Cash and cash investments

  $ 1,351   $ 1,040  

Short-term bank deposits

        311  

Total current assets

  $ 3,217   $ 3,217  


 

Balance Sheet December 31, 2011
  As Reported   As Revised  

Cash and cash investments

  $ 1,656   $ 1,353  

Short-term bank deposits

        303  

Total current assets

  $ 3,429   $ 3,429  

                The following table presents the impact of the revisions on the Company's previously issued consolidated statement of cash flows (in millions).

Cash Flows December 31, 2012
  As Reported   As Revised  

Net cash (for) investing activities

  $ (27 ) $ (29 )

Effect of exchange rate changes on cash and cash investments

  $ 17   $ 11  

Decrease in cash and cash investments

  $ (305 ) $ (313 )


 

Cash Flows December 31, 2011
  As Reported   As Revised  

Net cash (for) investing activities

  $ (61 ) $ (84 )

Effect of exchange rate changes on cash and cash investments

  $ (18 ) $ (8 )

Decrease in cash and cash investments

  $ (59 ) $ (72 )


 

Cash Flows December 31, 2010
  As Reported   As Revised  

Net cash (for) investing activities

  $ (109 ) $ (244 )

Effect of exchange rate changes on cash and cash investments

  $ (14 ) $ (7 )

Increase in cash and cash investments

  $ 302   $ 174  

 

         The following table presents the impact of the revisions on the Company's previously issued consolidated balance sheets and statements of cash flows (all cash flow figures are year-to-date, in millions).

 
  Mar. 31,
2012
  June 30,
2012
  Sep. 30,
2012
  Mar. 31,
2013
  June 30,
2013
 

Cash and cash investments

                               

As reported

  $ 1,788   $ 1,853   $ 1,166   $ 1,032   $ 1,223  

As revised

  $ 1,491   $ 1,612   $ 889   $ 828   $ 1,028  

Short-term bank deposits

   
 
   
 
   
 
   
 
   
 
 

As reported

                     

As revised

  $ 297   $ 241   $ 277   $ 204   $ 195  

Net cash (for) from investing activities

   
 
   
 
   
 
   
 
   
 
 

As reported

  $ (2 ) $ (15 ) $ (42 ) $ (30 ) $ (51 )

As revised

  $ 10   $ 37   $ (17 ) $ 70   $ 62