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Pension and Other Postretirement Benefits (Tables)
12 Months Ended
Dec. 31, 2021
Pension Plan  
Pension and other postretirement benefits  
Schedule of funded status

U.S. Plans

Non-U.S. Plans

(in millions)

2021

2020

2021

2020

 

Benefit obligation

At January 1

$

409

$

387

$

275

$

254

Service cost

4

5

4

4

Interest cost

8

11

9

10

Benefits paid

(24)

(23)

(13)

(12)

Actuarial (gain) loss

(14)

29

(15)

14

Curtailment/settlement/amendments

(1)

Foreign currency translation

(5)

5

Benefit obligation at December 31

$

383

$

409

$

254

$

275

Fair value of plan assets

At January 1

$

439

$

408

$

249

$

231

Actual return on plan assets

4

53

3

22

Employer contributions

1

1

7

4

Benefits paid

(24)

(23)

(13)

(12)

Plan settlements

(1)

Foreign currency translation

(1)

4

Fair value of plan assets at December 31

$

420

$

439

$

244

$

249

Funded status

$

37

$

30

$

(10)

$

(26)

Schedule of amounts recognized in the consolidated balance sheets

U.S. Plans

Non-U.S. Plans

(in millions)

    

2021

    

2020

    

2021

    

2020

 

Non-current asset

$

47

$

41

$

44

$

36

Current liabilities

(1)

(1)

(1)

(1)

Non-current liabilities

(9)

(10)

(53)

(61)

Net asset (liability) recognized

$

37

$

30

$

(10)

$

(26)

Schedule of amounts recognized in accumulated other comprehensive loss

U.S. Plans

Non-U.S. Plans

(in millions)

    

2021

    

2020

    

2021

    

2020

 

Net actuarial loss

$

11

$

12

$

38

$

61

Transition obligation

1

Prior service (credit) cost

(4)

(5)

Net amount recognized

$

7

$

7

$

38

$

62

Schedule of plan obligations and assets for plans with an accumulated benefit obligation in excess of plan assets

U.S. Plans

Non-U.S. Plans

(in millions)

2021

2020

2021

2020

 

Projected benefit obligation

$

(10)

$

(11)

$

(57)

$

(81)

Accumulated benefit obligation

(9)

(10)

(48)

(70)

Fair value of plan assets

3

19

Components of net periodic benefit cost

U.S. Plans

Non-U.S. Plans

 (in millions)

    

  

2021

    

2020

    

2019

    

2021

    

2020

    

2019

 

Service cost

$

4

$

5

$

5

$

4

$

4

$

3

Interest cost

8

11

14

9

10

10

Expected return on plan assets

(17)

(21)

(18)

(8)

(8)

(8)

Amortization of actuarial loss

1

2

2

2

Amortization of prior service credit

(1)

(1)

(1)

Net periodic benefit cost

$

(6)

$

(6)

$

1

$

7

$

8

$

7

Schedule of amounts recorded in other comprehensive income and net periodic benefit cost

(in millions, pre-tax)

    

U.S. Plans

    

Non-U.S. Plans

2021

2020

2019

2021

2020

2019

Net actuarial (gain) loss

$

(1)

$

(3)

$

(25)

$

(11)

$

1

$

7

Prior service cost

1

Amortization of actuarial loss

(1)

(2)

(2)

(2)

Amortization of prior service credit

1

1

1

Foreign currency translation

(11)

Total recorded in other comprehensive income

(2)

(25)

(24)

(1)

6

Net periodic benefit cost

(6)

(6)

1

7

8

7

Total recorded in other comprehensive income and net periodic benefit cost

$

(6)

$

(8)

$

(24)

$

(17)

$

7

$

13

Schedule of weighted average assumptions used to determine the company's obligations

U.S. Plans

Non-U.S. Plans

    

2021

    

2020

    

2021

    

2020

 

Discount rate

2.91

%  

2.58

%  

3.47

%  

2.84

%

Rate of compensation increase

4.18

4.26

3.67

3.54

Cash balance interest credit rate

4.11

3.76

Schedule of weighted average assumptions used to determine the company's net periodic benefit cost

U.S. Plans

Non-U.S. Plans

    

2021

    

2020

    

2019

    

2021

    

2020

    

2019

 

Discount rate

2.58

%  

3.34

%  

4.38

%  

2.84

%  

3.55

%  

4.33

%

Expected long-term return on plan assets

4.10

5.30

5.30

3.37

3.81

4.37

Rate of compensation increase

4.26

4.21

4.31

3.54

3.68

3.63

Cash balance interest crediting rate

3.76

4.16

4.49

Schedule of weighted average asset allocation

U.S. Plans

Non-U.S. Plans

Asset Category

2021

2020

2021

2020

 

Equity securities

14

%

20

%

18

%

18

%

Debt securities

85

79

57

58

Cash and other

1

1

25

24

Total

100

%

100

%

100

%

100

%

Schedule of fair values of the company's plan assets, by asset category and level

Fair Value Measurements at December 31, 2021

NAV

Level 1

Level 2

Total

(in millions)

    

2021

    

2020

    

2021

    

2020

    

2021

    

2020

    

2021

    

2020

 

U.S. Plans:

Equity index:

U.S. (a)

$

$

$

$

$

37

$

45

$

37

$

45

International (b)

22

44

22

44

Fixed income index:

Long bond (c)

179

276

179

276

Long government bond (d)

109

69

109

69

Other (e)

69

69

Cash (f)

4

5

4

5

Total U.S. Plans

$

69

$

$

$

$

351

$

439

$

420

$

439

Non-U.S. Plans:

Equity index:

U.S. (a)

$

$

$

$

$

26

$

26

$

26

$

26

International (b)

17

19

17

19

Fixed income index:

Short bond (g)

34

31

34

31

Intermediate bond (h)

45

38

45

38

Long bond (i)

93

106

93

106

Other (j)

21

26

21

26

Cash (f)

8

3

8

3

Total Non-U.S. Plans

$

$

$

8

$

3

$

236

$

246

$

244

$

249

(a)This category consists of both passively and actively managed equity index funds that track the return of large capitalization U.S. equities.
(b)This category consists of both passively and actively managed equity index funds that track an index of returns on international developed market equities.
(c)This category consists of an actively managed fixed income index fund that invests in a diversified portfolio of fixed-income corporate securities with maturities generally exceeding 10 years.
(d)This category consists of an actively managed fixed income index fund that invests in a diversified portfolio of fixed-income U.S. treasury securities with maturities generally exceeding 10 years.
(e)This category consists of an actively managed common collective fund that invests in government bonds, collateralized mortgage obligations, investment grade private credit and real estate debt. This fund is priced monthly at the aggregated market value of the underlying investments and can be redeemed with 95 days notification.
(f)This category represents cash or cash equivalents.
(g)This category consists of both passively and actively managed fixed income index funds that track the return of short-duration government and investment grade corporate bonds.
(h)This category consists of both passively and actively managed fixed income index funds that track the return of intermediate duration government and investment grade corporate bonds.
(i)This category consists of both passively and actively managed fixed income index funds that track the return of government bonds and investment grade corporate bonds.
(j)This category mainly consists of investment products provided by insurance companies that offer returns that are subject to a minimum guarantee and mutual funds.
Schedule of benefit payments, which reflect anticipated future service, as appropriate and are expected to be made

(in millions)

    

U.S. Plans

    

Non-U.S. Plans

 

2022

23

12

2023

24

13

2024

24

13

2025

23

13

2026

25

13

Years 2027 - 2031

125

72

Postemployment Retirement Benefits  
Pension and other postretirement benefits  
Schedule of funded status

(in millions)

    

2021

    

2020

 

Accumulated postretirement benefit obligation

At January 1

$

68

$

69

Service cost

1

Interest cost

2

3

Amendments

4

Actuarial (gain) loss

(5)

4

Benefits paid

(4)

(5)

Foreign currency translation

(1)

(3)

At December 31

65

68

Fair value of plan assets

Funded status

$

(65)

$

(68)

Schedule of amounts recognized in the consolidated balance sheets

(in millions)

    

2021

    

2020

Current liabilities

$

(4)

$

(4)

Non-current liabilities

(61)

(64)

Net liability recognized

$

(65)

$

(68)

Schedule of amounts recognized in accumulated other comprehensive loss

(in millions)

    

2021

    

2020

 

Net actuarial loss

$

8

$

17

Prior service cost

5

Net amount recognized

$

13

$

17

Components of net periodic benefit cost

(in millions)

2021

    

2020

    

2019

Service cost

$

1

$

$

1

Interest cost

2

3

3

Amortization of actuarial loss

1

1

Amortization of prior service credit

(2)

(2)

(2)

Net periodic benefit cost

$

2

$

2

$

2

Schedule of amounts recorded in other comprehensive income and net periodic benefit cost

(in millions, pre-tax)

    

2021

 

2020

2019

Net actuarial loss (gain)

$

(5)

$

4

$

6

Prior service cost

4

Amortization of prior service credit

2

2

2

Amortization of actuarial loss

(1)

(1)

Foreign currency translation

(4)

Total recorded in other comprehensive income

(4)

5

8

Net periodic benefit cost

2

2

2

Total recorded in other comprehensive income and net periodic benefit cost

$

(2)

$

7

$

10

Schedule of weighted average assumptions used to determine the company's obligations

2021

2020

Discount rate

4.22

%

3.69

%

Schedule of weighted average assumptions used to determine the company's net periodic benefit cost

2021

2020

2019

Discount rate

3.69

%

4.42

%

5.49

%

Schedule of assumptions made in measuring the company's postretirement benefit obligation

U.S.

Canada

Brazil

2021 increase in per capita cost

6.00

%

5.74

%

7.79

%

Ultimate trend

4.50

%

4.00

%

7.79

%

Year ultimate trend reached

2032

2040

2021

Schedule of benefit payments, which reflect anticipated future service, as appropriate and are expected to be made

(in millions)

    

 

2022

$

4

2023

4

2024

4

2025

4

2026

4

Years 2027 - 2031

21