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Note 19 - Restructuring Costs and Other - Schedule of Restructuring and Related Costs (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Balance $ 5 $ 11 $ 12
Charges 13 6 17
Utilization/cash payments (9) (10) (15)
Other adjustments & reclasses (2) [1] (2) (2) (3)
Balance 7 5 11
Employee Severance [Member]      
Balance [2] 4 10 11
Charges [2] 6 6 16
Utilization/cash payments [2] (6) (10) (14)
Other adjustments & reclasses (2) [1],[2] (2) (2) (3)
Balance [2] 2 4 10
Facility Closing [Member]      
Balance [2] 1 1 1
Charges [2] 4 0 1
Utilization/cash payments [2] 0 0 (1)
Other adjustments & reclasses (2) [1],[2] 0 0 0
Balance [2] 5 1 1
Inventory Write-down [Member]      
Balance [2] 0 0 0
Charges [2] 3 0 0
Utilization/cash payments [2] (3) 0 0
Other adjustments & reclasses (2) [1],[2] 0 0 0
Balance [2] $ 0 $ 0 $ 0
[1] The $2 million in 2022 and 2021 and the $3 million in 2020 represented severance charges funded from pension plan assets, which were reclassified to Pension and other postretirement liabilities.
[2] The severance and exit costs reserves require the outlay of cash. Inventory write-downs are non-cash items.