v3.25.4
Restructuring Actions (Tables)
12 Months Ended
Dec. 31, 2025
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Reserve by Type of Cost
Restructuring actions, including cash and non-cash impacts, follow:
20252024
Accrued restructuring action balance (millions)Employee-relatedEmployee-relatedAsset-related and otherTotal
Balance at beginning of year$80 $99 $— $99 
Incremental expense incurred21 136 51 187 
Non-cash changes — (51)(51)
Adjustments(14)— 
Cash payments(77)(161)— (161)
Balance at end of year$10 $80 $— $80 
Schedule of Restructuring and Related Costs
The related restructuring charges for periods presented were recorded in the income statement as follows:
(Millions)202520242023
Cost of sales$1 $30 $89 
Selling, general and administrative expenses20 142 295 
Research, development and related expenses 15 31 
Total operating income impact$21 $187 $415 
The business segment operating income impact of these restructuring charges is summarized as follows:
202520242023
(Millions)Employee relatedEmployee relatedAsset-related and otherTotalEmployee relatedAsset-related and otherTotal
Safety and Industrial$10 $72 $15 $87 $89 $— $89 
Transportation and Electronics7 36 45 62 — 62 
Consumer4 22 13 35 26 — 26 
Corporate and Other 14 20 171 67 238 
Total operating expense$21 $136 $51 $187 $348 $67 $415