v3.26.1
FAIR VALUE MEASUREMENTS - Plan's investments reported at NAV (Details) - North America 401(k) Savings Plan - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
FAIR VALUE MEASUREMENTS    
Investments $ 3,639,476,068 $ 3,176,427,504
Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments 3,193,820,709 3,034,545,303
BlackRock Equity Index Fund | Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments $ 1,767,860,942 1,550,604,658
Redemption notice period 0 days  
BlackRock Russell 2000 Index Fund | Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments $ 27,260,948 290,846,641
Redemption notice period 0 days  
BlackRock Mid Capitalization Equity Index Fund | Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments $ 252,055,360 344,787,918
Redemption notice period 0 days  
BlackRock U.S. Debt Index Fund | Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments $ 242,596,704 253,874,802
Redemption notice period 0 days  
BlackRock MSCI ACWI EX U.S. Index Fund | Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments $ 492,346,514 441,356,082
Redemption notice period 0 days  
BlackRock U.S. Treasury Inflation Protection Securities Fund | Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments $ 18,355,108 30,746,298
Redemption notice period 0 days  
BlackRock Emerging Markets Index Non-Lendable Fund | Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments   $ 122,328,904
Redemption notice period 0 days  
T. Rowe Price International Discovery Administrative | Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments $ 94,738,348  
Redemption notice period 0 days  
Columbia Dividend Income Institutional | Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments $ 119,055,694  
Redemption notice period 0 days  
Schroder International Alpha Fund | Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments $ 67,582,951  
Redemption notice period 0 days  
Cohen & Steers U.S. Realty Fund Class A | Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments $ 514,697  
Redemption notice period 0 days  
Pioneer Bond Fund | Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments $ 56,789,004  
Redemption notice period 0 days  
GQG Partners Emerging Markets Equity CIT Fund | Net Asset Value    
FAIR VALUE MEASUREMENTS    
Investments $ 54,664,439  
Redemption notice period 0 days