v3.26.3
CONDENSED CONSOLIDATED STATEMENT OF CASH FLOWS - USD ($)
$ in Millions
8 Months Ended
Sep. 05, 2026
Sep. 06, 2025
Operating Activities    
Net income $ 8,412 $ 5,740
Depreciation and amortization 2,531 2,315
Impairment and other charges 0 1,960
Operating lease right-of-use asset amortization 531 489
Share-based compensation expense 240 207
Restructuring and impairment charges 367 567
Cash payments for restructuring charges (373) (554)
Acquisition and divestiture-related charges/credits (254) 308
Cash payments for acquisition and divestiture-related charges (24) (80)
Pension and retiree medical plan expenses 227 164
Pension and retiree medical plan contributions (355) (400)
Deferred income taxes and other tax charges/credits 663 30
Tax payments related to the Tax Cuts and Jobs Act (TCJ Act) (965) (772)
Change in assets and liabilities:    
Accounts and notes receivable (2,124) (1,747)
Inventories (588) (449)
Prepaid expenses and other current assets 27 (223)
Accounts payable and other current liabilities (358) (1,647)
Income taxes payable 415 6
Other, net (422) (446)
Net Cash Provided by Operating Activities 7,950 5,468
Investing Activities    
Capital spending (2,182) (2,499)
Sales of property, plant and equipment 89 272
Acquisitions, net of cash acquired, investments in noncontrolled affiliates and purchases of intangible and other assets (148) (3,176)
Short-term investments, by original maturity:    
Payments to Acquire Short-Term Investments (105) (190)
More than three months - maturities 17 425
Proceeds from Sale of Debt Securities, Available-for-Sale 14 0
Payments for (Proceeds from) Short-term investments, three months or less, net (5) 43
Other investing, net (27) (112)
Net Cash Used for Investing Activities (2,347) (5,237)
Financing Activities    
Proceeds from issuances of long-term debt 2,978 8,179
Payments of long-term debt (2,328) (3,245)
Short-term borrowings, by original maturity:    
More than three months - proceeds 4,562 5,528
More than three months - payments (3,817) (5,417)
Three months or less, net 1,365 445
Cash dividends paid (5,935) (5,692)
Share repurchases (739) (752)
Proceeds from exercises of stock options 107 76
Withholding tax payments on restricted stock units (RSUs) and performance stock units (PSUs) converted (96) (112)
Other financing (1) (18)
Net Cash Used for Financing Activities (3,904) (1,008)
Effect of exchange rate changes on cash and cash equivalents and restricted cash (175) 395
Net Increase/(Decrease) in Cash and Cash Equivalents and Restricted Cash 1,524 (382)
Cash and Cash Equivalents and Restricted Cash, Beginning of Year 9,204 8,553
Cash and Cash Equivalents and Restricted Cash, End of Period 10,728 8,171
Supplemental Non-Cash Activity    
Right-of-use assets obtained in exchange for lease obligations 625 542
Purchase Commitment (Celsius) [Abstract] $ 0 $ 554