v3.25.4
EQUITY - Schedule of Comprehensive Income (Loss) (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Derivatives qualifying as cash flow hedges:      
Unrealized gains/(losses), pretax $ (340) $ 495 $ 70
Unrealized gains/(losses), tax 73 (86) (12)
Unrealized gains/(losses), after tax (267) 409 58
Reclassified to net earnings, pretax (88) (33) (334)
Reclassified to net earnings, tax 15 (2) 46
Reclassified to net earnings, after tax (73) (35) (288)
Derivatives qualifying as cash flow hedges, pretax (429) 462 (264)
Derivatives qualifying as cash flow hedges, tax 89 (88) 34
Derivatives qualifying as cash flow hedges, after tax (340) 374 (230)
Pension and postretirement benefits:      
Actuarial gains (losses), pretax 102 (44) (140)
Actuarial gains (losses), tax (18) 16 25
Actuarial gains (losses), after tax 84 (28) (115)
Amortization, pretax 5 8 0
Amortization, tax (1) (1) 0
Amortization, after tax 4 7 0
Settlements, pretax (8) 119 0
Settlements, tax 1 (8) 0
Settlements, after tax (6) 111 0
Pension and postretirement benefits, pretax 99 83 (140)
Pension and postretirement benefits, tax (18) 7 25
Pension and postretirement benefits, after tax 82 90 (115)
Marketable debt securities:      
Unrealized (losses) gains, pretax 2 0 3
Unrealized (losses) gains, tax 0 0 (1)
Unrealized (losses) gains, after tax 1 0 2
Foreign currency translation      
Foreign currency translation, pretax (60) (136) 84
Foreign currency translation, tax 31 (20) (6)
Foreign currency translation, after tax (29) (156) 78
Other comprehensive income/(loss), pretax (388) 409 (317)
Other comprehensive income/(loss), tax 102 (101) 52
Total other comprehensive income/(loss) $ (286) $ 308 $ (265)