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Supplemental Cash Flow Information (Tables)
12 Months Ended
Dec. 31, 2019
Supplemental Cash Flow Elements [Abstract]  
Cash Flow Provided by (Used in) Operations Due to Changes in Operating Assets and Liabilities
Cash Flow Used In Operations Due to Changes in Operating Assets and Liabilities, net of acquisitions:
In millions201920182017
Receivables, Net
$(103.4) $(1,155.5) $(658.8) 
Inventories, Net
(72.8) (82.0) (6.5) 
Other Current Assets
(7.3) 4.2  0.8  
Other Assets
(6.3) 1.9  (32.8) 
Accounts Payable
(8.6) 76.2  27.0  
Compensation and Employee Benefits
12.9  26.9  3.5  
Income Taxes
(4.2) (1.0) 18.9  
Interest Payable
8.4  (4.1) (1.7) 
Other Accrued Liabilities
(17.0) 12.0  (16.6) 
Other Noncurrent Liabilities
12.1  (4.8) 14.2  
Total
$(186.2) $(1,126.2) $(652.0) 
Cash paid for interest and cash paid, net of refunds, for income taxes
Cash paid for interest and cash paid, net of refunds, for income taxes was as follows:
In millions201920182017
Interest
$126.8  $125.0  $81.8  
Income Taxes
$18.5  $17.3  $15.9