REPOSITIONING AND OTHER CHARGES 5 (Details)
|
9 Months Ended |
|
Sep. 30, 2016
USD ($)
|
| Restructuring Reserve [Line Items] |
|
| Balance at beginning of period, |
$ 350,000,000
|
| Charges |
336,000,000
|
| Usage - cash |
(143,000,000)
|
| Usage - noncash |
(48,000,000)
|
| Adjustments |
(92,000,000)
|
| Foreign currency translation adjustment |
7,000,000
|
| Balance at end of period, |
410,000,000
|
| Severance Costs [Member] |
|
| Restructuring Reserve [Line Items] |
|
| Balance at beginning of period, |
329,000,000
|
| Charges |
253,000,000
|
| Usage - cash |
(135,000,000)
|
| Usage - noncash |
(6,000,000)
|
| Adjustments |
(91,000,000)
|
| Foreign currency translation adjustment |
7,000,000
|
| Balance at end of period, |
357,000,000
|
| Tangible And Intangible Asset Impairment [Member] |
|
| Restructuring Reserve [Line Items] |
|
| Balance at beginning of period, |
0
|
| Charges |
42,000,000
|
| Usage - cash |
0
|
| Usage - noncash |
(42,000,000)
|
| Adjustments |
0
|
| Foreign currency translation adjustment |
0
|
| Balance at end of period, |
0
|
| Exit Costs [Member] |
|
| Restructuring Reserve [Line Items] |
|
| Balance at beginning of period, |
21,000,000
|
| Charges |
41,000,000
|
| Usage - cash |
(8,000,000)
|
| Usage - noncash |
0
|
| Adjustments |
(1,000,000)
|
| Foreign currency translation adjustment |
0
|
| Balance at end of period, |
$ 53,000,000
|