XML 17 R6.htm IDEA: XBRL DOCUMENT v3.24.3Close
Consolidated Statements of Cash Flows - USD ($)
$ in Millions
3 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2024
Mar. 31, 2024
Sep. 30, 2023
Mar. 31, 2023
Sep. 30, 2024
Sep. 30, 2023
Dec. 31, 2023
Net income $ (521) $ 423 $ (318) $ 599 $ 958 $ 998  
Income (loss) from discontinued operations after income taxes 2   3   (45) 174  
Depreciation and Amortization         925 899  
Provision for (benefit from) deferred income tax         (422) (268)  
Net Periodic Pension and OPEB (credits) costs, net         121 105  
Pension and OPEB Contributions         (123) (123)  
Net (gain) loss on sales of property, businesses, consolidated companies, and investments         (17) (12)  
Restructuring Charges         199 95  
Other net loss         377 342  
Accounts and notes receivable         (1,450) (773)  
Inventories         1,060 492  
Accounts Payable         (518) (1,218)  
Deferred Revenue         (2,974) (2,840)  
Other Assets and Liabilities         (38) 445  
Net Cash Provided by (Used in) Operating Activities, Continuing Operations         (1,871) (2,574)  
Cash Provided by (Used in) Operating Activities, Discontinued Operations         (157) (30)  
Net Cash Provided by (Used in) Operating Activities         (2,028) (2,604)   Close
Capital expenditures         (416) (412)  
Proceeds from sales of property, businesses, and consolidated companies - net of cash divested         2 42  
Payments to Acquire Businesses, Net of Cash Acquired         0 (1,456)  
Purchases of investments         (137) (83)  
Proceeds from Sale and Maturities of Investments         115 127  
Proceeds from Hedge, Investing Activities         15 42  
Other investing activities - net         (38) (2)  
Cash provided by (used for) investing activities         (466) (1,773)   Close
Net change in borrowings (less than 90 days)         1,715 2,419  
Proceeds from debt         3,047 3,427  
Payments on Debt         (1,529) (1,314)  
Repurchase of Common Stock         (757) (585)  
Proceeds from Exercise of Stock Options         30 28  
Dividends paid to stockholders         (340) (327)  
Other financing activities         (29) (45)  
Cash provided by (used for) financing activities         2,137 3,603   Close
Effect of Exchange Rate Changes on Cash, Cash Equivalents and Restricted Cash         (45) (68)   Close
Increase (Decrease) in Cash, Cash Equivalents, Restricted Cash         (402) (842)   Close
Cash, Cash Equivalents and Restricted Cash at Beginning of Period   3,158   3,618 3,158 3,618 $ 3,618
Cash, Cash Equivalents and Restricted Cash at End of Period 2,756 [1]   2,776 [1]   2,756 [1] 2,776 [1] 3,158
Investments in and loans to nonconsolidated affiliates         (7) (31)  
EIDP              
Net income (507) 428 (320) 589 987 981  
Income (loss) from discontinued operations after income taxes 2   3   (45) 174  
Depreciation and Amortization         925 899  
Provision for (benefit from) deferred income tax         (422) (268)  
Net Periodic Pension and OPEB (credits) costs, net         121 105  
Pension and OPEB Contributions         (123) (123)  
Net (gain) loss on sales of property, businesses, consolidated companies, and investments         (17) (12)  
Restructuring Charges         199 95  
Other net loss         377 342  
Accounts and notes receivable         (1,450) (773)  
Inventories         1,060 492  
Accounts Payable         (518) (1,218)  
Deferred Revenue         (2,974) (2,840)  
Other Assets and Liabilities         1,097 (439)  
Net Cash Provided by (Used in) Operating Activities, Continuing Operations         (2,977) (2,585)  
Cash Provided by (Used in) Operating Activities, Discontinued Operations         (157) (30)  
Net Cash Provided by (Used in) Operating Activities         (3,134) (2,615)  
Capital expenditures         (416) (412)  
Proceeds from sales of property, businesses, and consolidated companies - net of cash divested         2 42  
Payments to Acquire Businesses, Net of Cash Acquired         0 (1,456)  
Purchases of investments         (137) (83)  
Proceeds from Sale and Maturities of Investments         115 127  
Proceeds from Hedge, Investing Activities         15 42  
Other investing activities - net         (38) (2)  
Cash provided by (used for) investing activities         (466) (1,773)  
Net change in borrowings (less than 90 days)         1,715 2,419  
Repayments of Related Party Debt         0 (924)  
Proceeds from debt         3,047 3,427  
Payments on Debt         (1,529) (1,314)  
Proceeds from Exercise of Stock Options         30 28  
Other financing activities         (20) (51)  
Cash provided by (used for) financing activities         3,243 3,614  
Effect of Exchange Rate Changes on Cash, Cash Equivalents and Restricted Cash         (45) (68)  
Increase (Decrease) in Cash, Cash Equivalents, Restricted Cash         (402) (842)  
Cash, Cash Equivalents and Restricted Cash at Beginning of Period   $ 3,158   $ 3,618 3,158 3,618 3,618
Cash, Cash Equivalents and Restricted Cash at End of Period $ 2,756   $ 2,776   2,756 2,776 $ 3,158
Investments in and loans to nonconsolidated affiliates         (7) (31)  
Proceeds from Related Party Debt         $ 0 $ 29  
[1] See page 15 for reconciliation of cash and cash equivalents and restricted cash equivalents presented in interim Consolidated Balance Sheets to total cash, cash equivalents and restricted cash equivalents presented in the interim Consolidated Statements of Cash Flows.