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Quarterly report [Sections 13 or 15(d)]

FAIR VALUE MEASUREMENTS (Tables)

v3.25.1
FAIR VALUE MEASUREMENTS (Tables)
3 Months Ended
Mar. 31, 2025
Fair Value Disclosures [Abstract] Ìý
Schedule of Carrying Value and Fair Value Of Financial Instruments
A summary of the carrying value and fair value of other financial instruments were as follows:
March 31, 2025 December 31, 2024
(In millions) Valuation Hierarchy Classification Carrying
Value
Fair
Value
Carrying
Value
Fair
Value
Senior notes Level 1 $ 6,346Ìý $ 6,240Ìý $ 5,505Ìý $ 5,496Ìý
ABL Facility - outstanding balance Level 2 1,255Ìý 1,255Ìý 1,560Ìý 1,560Ìý
Total $ 7,601Ìý $ 7,495Ìý $ 7,065Ìý $ 7,056Ìý
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation
The following table summarizes the changes in fair value of the employee benefit commitment:
(In millions) 2025
Beginning balance as of January 1 $ (188)
Change in fair value (2)
Payments 5Ìý
Ending balance as of March 31 $ (185)
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Input Reconciliation
The following table summarizes the changes in fair value of the MinnTac option:
(In millions) 2025
Beginning balance as of January 1 $ 95Ìý
Change in fair value (9)
Ending balance as of March 31 $ 86Ìý