v3.26.1
Consolidated Statement of Financial Position - USD ($)
$ in Millions
Jun. 30, 2026
Dec. 31, 2025
Current assets:    
Cash and cash equivalents $ 6,713 $ 9,980
Receivables – trade and other 13,188 10,920
Receivables – finance 10,844 10,649
Prepaid expenses and other current assets 3,078 2,801
Inventories 20,627 18,135
Total current assets 54,450 52,485
Property, plant and equipment – net 15,628 15,140
Long-term receivables – trade and other 3,086 2,142
Long-term receivables – finance 14,364 14,272
Noncurrent deferred and refundable income taxes 2,286 2,882
Intangible assets 420 241
Goodwill 5,859 5,321
Other assets 6,516 6,102
Total assets 102,609 98,585
Short-term borrowings:    
Accounts payable 10,313 8,968
Accrued expenses 5,825 5,587
Accrued wages, salaries and employee benefits 2,148 2,554
Customer advances 4,777 3,314
Dividends payable 749 703
Other current liabilities 2,871 2,798
Long-term debt due within one year:    
Total current liabilities 39,790 36,558
Long-term debt due after one year:    
Liability for postemployment benefits 3,744 3,838
Other liabilities 7,642 6,175
Total liabilities 83,215 77,267
Commitments and contingencies (Notes 11 and 14)
Shareholders’ equity    
Common stock, authorized and issued 5,654 7,181
Treasury stock: (6/30/26 – 355,219,735 shares; 12/31/25 – 349,607,292 shares) at cost (54,533) (49,539)
Profit employed in the business 70,141 65,448
Accumulated other comprehensive income (loss) (1,867) (1,772)
Noncontrolling interests (1) 0
Total shareholders’ equity 19,394 21,318
Total liabilities and shareholders’ equity 102,609 98,585
Financial Products    
Short-term borrowings:    
Short-term borrowings 5,046 5,514
Long-term debt due within one year:    
Long-term debt due within one year 8,026 7,085
Long-term debt due after one year:    
Long-term debt due after one year 21,384 20,018
Sales of Machinery, Power & Energy    
Long-term debt due within one year:    
Long-term debt due within one year 35 35
Long-term debt due after one year:    
Long-term debt due after one year $ 10,655 $ 10,678