Quarterly report pursuant to Section 13 or 15(d)

CONDENSED CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY

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CONDENSED CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY (USD $)
In Millions, unless otherwise specified
Total
Total Cummins Inc. Shareholders' Equity
Common Stock
Additional paid-in Capital
Retained Earnings
Accumulated Other Comprehensive Loss
Treasury Stock
Common Stock Held in Trust
Noncontrolling Interests
BALANCE at Dec. 31, 2010 $ 4,996 $ 4,670 $ 554 $ 1,380 $ 4,445 $ (720) $ (964) $ (25) $ 326
Increase (Decrease) in Stockholders' Equity                  
Net income 1,374 1,300     1,300       74
Other comprehensive income (loss) (113) (91)       (91)     (22)
Issuance of shares 13 13 1 12          
Employee benefits trust activity 24 24   21       3  
Acquisition of shares (546) (546)         (546)    
Cash dividends on common stock (178) (178)     (178)        
Distribution to noncontrolling interests (52)               (52)
Stock option exercises 5 5         5    
Other shareholder transactions 21 14   14         7
BALANCE at Sep. 25, 2011 5,544 5,211 555 1,427 5,567 (811) (1,505) (22) 333
BALANCE at Dec. 31, 2011 5,831 5,492 555 1,446 6,038 (938) (1,587) (22) 339
Increase (Decrease) in Stockholders' Equity                  
Net income 1,340 1,276     1,276       64
Other comprehensive income (loss) 133 130       130     3
Issuance of shares 6 6 1 5          
Employee benefits trust activity 25 25   22       3  
Acquisition of shares (231) (231)         (231)    
Cash dividends on common stock (246) (246)     (246)        
Distribution to noncontrolling interests (71)               (71)
Stock option exercises 9 9         9    
Other shareholder transactions 38 17   17         21
BALANCE at Sep. 30, 2012 $ 6,834 $ 6,478 $ 556 $ 1,490 $ 7,068 $ (808) [1] $ (1,809) $ (19) $ 356
[1] Comprised of defined benefit postretirement plans of $(694) million, foreign currency translation adjustments of $(122) million, unrealized gain on derivatives of $4 million and an unrealized gain on marketable securities of $4 million.