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Note 5 - Supplemental Balance Sheet and Cash Flow Information - Supplemental Balance Sheet Information (Details) - USD ($)
$ in Millions
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Other current assets:        
Prepaid expenses $ 141 $ 155    
Restricted cash 9 23 $ 7 $ 9
Other 56 69    
Total 206 247 219  
Other noncurrent assets:        
Contract with Customer, Receivable, after Allowance for Credit Loss, Noncurrent 28 34    
Pre-production costs receivable 32 24    
Pension assets, net of related obligations 11 12    
Restricted cash 9 11 10 $ 10
Deferred financing costs 4 5    
Other 105 54    
Total 189 140 123  
Property, plant and equipment, net:        
Land and improvements to land 180 198    
Buildings and building fixtures 550 576    
Machinery and equipment 3,856 3,815    
Software and hardware 367 366    
Construction in progress 482 450    
Finance lease right-of-use assets 97 55    
Total cost 5,532 5,460    
Less: accumulated depreciation (3,318) (3,149)    
Net 2,214 2,311 $ 2,193  
Other accrued liabilities (current):        
Non-income taxes payable 59 57    
Warranty reserves 59 53    
Contract with Customer, Liability, Current 25 50    
Accrued interest 43 50    
Accrued customer rebates 24 27    
Payable under forward contracts 41 12    
Restructuring costs 51 10    
Environmental 4 3    
Deferred government assistance 3    
Other expense accruals 159 111    
Total 468 373    
Other noncurrent liabilities:        
Income tax liability 80 81    
Interest rate swap market valuation 5 20    
Deferred income tax liability 53 34    
Workplace injury costs 13 13    
Warranty reserves 64 63    
Deferred government assistance 17 16    
Other noncurrent liabilities 165 92    
Total $ 397 $ 319