v3.26.1
FAIR VALUE MEASUREMENTS - Assets and Liabilities Measured at Fair Value on a Recurring Basis (Details) - USD ($)
$ in Millions
Jun. 30, 2026
Dec. 31, 2025
Jun. 30, 2025
Assets:      
Cash equivalents $ 934 $ 587  
Restricted cash 13 16 $ 16
Liabilities:      
Acquisition-related contingent consideration 293 292  
Cross-currency swaps      
Assets:      
Foreign currency exchange contracts 3 5  
Liabilities:      
Net fair value 136 158  
Foreign currency exchange contracts      
Assets:      
Foreign currency exchange contracts 1 1  
Liabilities:      
Net fair value 2 5  
Level 1      
Assets:      
Cash equivalents 924 574  
Restricted cash 13 16  
Liabilities:      
Acquisition-related contingent consideration 0 0  
Level 1 | Cross-currency swaps      
Assets:      
Foreign currency exchange contracts 0 0  
Liabilities:      
Net fair value 0 0  
Level 1 | Foreign currency exchange contracts      
Assets:      
Foreign currency exchange contracts 0 0  
Liabilities:      
Net fair value 0 0  
Level 2      
Assets:      
Cash equivalents 10 13  
Restricted cash 0 0  
Liabilities:      
Acquisition-related contingent consideration 0 0  
Level 2 | Cross-currency swaps      
Assets:      
Foreign currency exchange contracts 3 5  
Liabilities:      
Net fair value 136 158  
Level 2 | Foreign currency exchange contracts      
Assets:      
Foreign currency exchange contracts 1 1  
Liabilities:      
Net fair value 2 5  
Level 3      
Assets:      
Cash equivalents 0 0  
Restricted cash 0 0  
Liabilities:      
Acquisition-related contingent consideration 293 292  
Level 3 | Cross-currency swaps      
Assets:      
Foreign currency exchange contracts 0 0  
Liabilities:      
Net fair value 0 0  
Level 3 | Foreign currency exchange contracts      
Assets:      
Foreign currency exchange contracts 0 0  
Liabilities:      
Net fair value $ 0 $ 0