<ARTICLE>                     5
<LEGEND>
This schedule contains summary financial information extracted from the
consolidated balance sheets at December 31, 1998, September 30, 1998,
June 30, 1998, March 31, 1998 and December 31, 1997 and the consolidated
statements of income for the year ended December 31, 1998, 9 months ended
September 30, 1998, 6 months ended June 30, 1998, 3 months ended March 31, 1998
and year ended December 31, 1997 and is qualified in its entirety by reference
to such financial statements.
</LEGEND>
<RESTATED>
<MULTIPLIER>              1,000,000

                                                                  
<PERIOD-TYPE>                  12-MOS         9-MOS        6-MOS         3-MOS        12-MOS
<FISCAL-YEAR-END>         DEC-31-1998   DEC-31-1998  DEC-31-1998   DEC-31-1998   DEC-31-1997
<PERIOD-END>              DEC-31-1998   SEP-30-1998  JUN-30-1998   MAR-31-1998   DEC-31-1997
<CASH>                          1,018           632          570           530           745
<SECURITIES>                        0             0           31            91           455
<RECEIVABLES>                   3,469         3,331        3,229         3,299         3,342
<ALLOWANCES>                       78            78           71            68            75
<INVENTORY>                     3,456         3,647        3,568         3,437         3,121
<CURRENT-ASSETS>                9,354         8,688        8,486         8,508         8,831
<PP&E>                         12,657        12,672       12,315        12,263        12,234
<DEPRECIATION>                  7,057         7,174        6,943         6,907         6,854
<TOTAL-ASSETS>                 22,738        20,871       20,402        20,014        20,118
<CURRENT-LIABILITIES>           7,645         6,373        6,000         6,052         6,755
<BONDS>                         2,776         2,795        3,058         2,765         2,392
<PREFERRED-MANDATORY>               0             0            0             0             0
<PREFERRED>                         0             0            0             0             0
<COMMON>                          953           953          953           953           953
<OTHER-SE>                      7,130         6,645        6,315         6,198         5,823
<TOTAL-LIABILITY-AND-EQUITY>   22,738        20,871       20,402        20,014        20,118
<SALES>                        23,555        17,334       11,473         5,569        22,499
<TOTAL-REVENUES>               23,555        17,334       11,473         5,569        22,499
<CGS>                          17,689        13,069        8,699         4,249        17,444
<TOTAL-COSTS>                  17,689        13,069        8,699         4,249        17,444
<OTHER-EXPENSES>                    0             0            0             0             0
<LOSS-PROVISION>                    0             0            0             0             0
<INTEREST-EXPENSE>                275           188          122            60           277
<INCOME-PRETAX>                 2,772         1,978        1,281           582         2,419
<INCOME-TAX>                      869           632          409           186           778
<INCOME-CONTINUING>             1,903         1,346          872           396         1,641
<DISCONTINUED>                      0             0            0             0             0
<EXTRAORDINARY>                     0             0            0             0             0
<CHANGES>                           0             0            0             0             0
<NET-INCOME>                    1,903         1,346          872           396         1,641
<EPS-BASIC>                      2.38          1.69         1.09          0.49          2.04
<EPS-DILUTED>                    2.34          1.64         1.04          0.48          2.00