REPOSITIONING AND OTHER (GAINS) CHARGES - Repositioning Reserves (Details) $ in Millions |
9 Months Ended |
|---|---|
|
Sep. 30, 2025
USD ($)
| |
| Restructuring Reserve [Roll Forward] | |
| Balance at beginning of period | $ 185 |
| Charges | 115 |
| Usage—cash | (117) |
| Usage—noncash | (4) |
| Foreign currency translation | 2 |
| Adjustments | (41) |
| Balance at end of period | 140 |
| Severance Costs | |
| Restructuring Reserve [Roll Forward] | |
| Balance at beginning of period | 178 |
| Charges | 67 |
| Usage—cash | (68) |
| Usage—noncash | 0 |
| Foreign currency translation | 2 |
| Adjustments | (41) |
| Balance at end of period | 138 |
| Asset impairments | |
| Restructuring Reserve [Roll Forward] | |
| Balance at beginning of period | 0 |
| Charges | 4 |
| Usage—cash | 0 |
| Usage—noncash | (4) |
| Foreign currency translation | 0 |
| Adjustments | 0 |
| Balance at end of period | 0 |
| Exit costs | |
| Restructuring Reserve [Roll Forward] | |
| Balance at beginning of period | 7 |
| Charges | 44 |
| Usage—cash | (49) |
| Usage—noncash | 0 |
| Foreign currency translation | 0 |
| Adjustments | 0 |
| Balance at end of period | $ 2 |