<ARTICLE> 5
<LEGEND>
This schedule contains restated financial information extracted from the
Condensed Consolidated Balance Sheet and the Condensed Consolidated Statement of
Operations for the periods indicated below, and is qualified in its entirety by
reference to such financial statements.  Referenced as Exhibit 27.1 in 10-K.
</LEGEND>
<MULTIPLIER> 1,000,000

                                                                                            
<PERIOD-TYPE>                   9-MOS                   6-MOS                   3-MOS                   YEAR
<FISCAL-YEAR-END>                          DEC-31-1999             DEC-31-1999             DEC-31-1999             DEC-31-1998
<PERIOD-START>                             JAN-01-1999             JAN-01-1999             JAN-01-1999             JAN-01-1998
<PERIOD-END>                               SEP-30-1999             JUN-30-1999             MAR-01-1999             DEC-31-1998
<CASH>                                           1,115                     885                     657                     550
<SECURITIES>                                         0                       0                       0                       0
<RECEIVABLES>                                    4,500                   4,462                   3,731                   3,733
<ALLOWANCES>                                       330                     320                     313                     316
<INVENTORY>                                      3,504                   3,490                   3,302                   3,191
<CURRENT-ASSETS>                                10,316                   9,989                  10,058                   9,828
<PP&E>                                          10,178                  10,097                   9,495                   9,549
<DEPRECIATION>                                   6,009                   5,952                   6,034                   5,994
<TOTAL-ASSETS>                                  23,080                  22,027                  17,912                  17,768
<CURRENT-LIABILITIES>                            8,141                   7,698                   7,381                   7,182
<BONDS>                                          2,844                   2,110                   1,553                   1,570
<PREFERRED-MANDATORY>                              449                     451                     454                     456
<PREFERRED>                                          0                       0                       0                       0
<COMMON>                                         4,184                   4,097                   2,818                   2,708
<OTHER-SE>                                       2,918                   3,220                   1,681                   1,670
<TOTAL-LIABILITY-AND-EQUITY>                    23,080                  22,027                  17,912                  17,768
<SALES>                                         13,158                   8,577                   3,980                  17,348
<TOTAL-REVENUES>                                17,610                  11,483                   5,442                  22,809
<CGS>                                           10,447                   6,575                   3,110                  13,436
<TOTAL-COSTS>                                   13,181                   8,324                   3,977                  16,897
<OTHER-EXPENSES>                                   886                     580                     274                   1,168
<LOSS-PROVISION>                                     0                       0                       0                       0
<INTEREST-EXPENSE>                                 175                     112                      55                     197
<INCOME-PRETAX>                                  1,188                   1,073                     435                   1,810
<INCOME-TAX>                                       334                     332                     136                     568
<INCOME-CONTINUING>                                785                     695                     278                   1,157
<DISCONTINUED>                                     690                     650                      30                      98
<EXTRAORDINARY>                                      0                       0                       0                       0
<CHANGES>                                            0                       0                       0                       0
<NET-INCOME>                                     1,475                   1,385                     308                   1,255
<EPS-BASIC>                                       3.13                    3.01                     .67                    2.68
<EPS-DILUTED>                                     2.92                    2.78                     .63                    2.53