v3.25.2
CONDENSED CONSOLIDATED STATEMENT OF CASH FLOWS - USD ($)
$ in Millions
6 Months Ended
Jun. 14, 2025
Jun. 15, 2024
Operating Activities    
Net income $ 3,122 $ 5,147
Depreciation and amortization 1,491 1,379
Impairment and other (credits)/charges 1,860 0
Product recall-related impact 0 182
Operating lease right-of-use asset amortization 315 278
Share-based compensation expense 131 183
Restructuring and impairment charges 426 170
Cash payments for restructuring charges (387) (173)
Payments for product recall-related impact (2) (135)
Pension and retiree medical plan expense 99 67
Pension and retiree medical plan contributions (354) (263)
Deferred income taxes and other tax charges and credits (260) 142
Tax payments related to the Tax Cuts and Jobs Act (TCJ Act) (772) (579)
Change in assets and liabilities:    
Accounts and notes receivable (1,582) (1,138)
Inventories (800) (696)
Prepaid expenses and other current assets (354) (365)
Accounts payable and other current liabilities (2,083) (2,968)
Income taxes payable 415 287
Other, net (269) (203)
Net Cash Provided by Operating Activities 996 1,315
Investing Activities    
Capital spending (1,507) (1,701)
Sales of property, plant and equipment 169 127
Acquisitions, net of cash acquired, investments in noncontrolled affiliates and purchases of intangible and other assets (3,130) (30)
Divestitures, sales of investments in noncontrolled affiliates and other assets 5 135
Short-term investments, by original maturity:    
More than three months - maturities 425 0
Payments for (Proceeds from) Short-term investments, three months or less, net 22 1
Other investing, net (111) 14
Net Cash Used for Investing Activities (4,127) (1,454)
Financing Activities    
Proceeds from issuances of long-term debt 3,521 1,765
Payments of long-term debt (2,543) (2,882)
Short-term borrowings, by original maturity:    
More than three months - proceeds 5,251 3,080
More than three months - payments (2,492) (2,138)
Three months or less, net 2,438 1,286
Cash dividends paid (3,743) (3,506)
Share repurchases (494) (461)
Proceeds from exercises of stock options 58 107
Withholding tax payments on restricted stock units (RSUs) and performance stock units (PSUs) converted (111) (131)
Other financing (17) (20)
Net Cash Provided by/(Used for) Financing Activities 1,868 (2,900)
Effect of exchange rate changes on cash and cash equivalents and restricted cash 422 (304)
Net Decrease in Cash and Cash Equivalents and Restricted Cash (841) (3,343)
Cash and Cash Equivalents and Restricted Cash, Beginning of Year 8,553 9,761
Cash and Cash Equivalents and Restricted Cash, End of Period 7,712 6,418
Supplemental Non-Cash Activity    
Right-of-use assets obtained in exchange for lease obligations $ 329 $ 541