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Accumulated Other Comprehensive Income (Loss) (Tables)
9 Months Ended
Oct. 01, 2021
Equity [Abstract]  
Schedule of accumulated other comprehensive income (loss)
The following table includes the changes in accumulated other comprehensive loss by component (U.S. dollars in millions): 
Changes in Accumulated Other Comprehensive Loss by Component (1)
 Cash Flow HedgesForeign Currency Translation AdjustmentRetirement Benefit AdjustmentTotal
Nine months ended October 1, 2021
Balance at January 1, 2021$(49.6)$(3.3)$(24.1)$(77.0)
Other comprehensive (loss) income
    before reclassifications
10.2 
(3)
(9.2)
(2)
(1.9)(0.9)
Amounts reclassified from accumulated
    other comprehensive loss
2.1 
(4)
— 0.7 2.8 
Net current period other comprehensive
    (loss) income
12.3 (9.2)(1.2)1.9 
Balance at October 1, 2021$(37.3)$(12.5)$(25.3)$(75.1)
Nine months ended September 25, 2020
Balance at December 27, 2019$(25.5)$(15.8)$(24.1)$(65.4)
Other comprehensive (loss) income
    before reclassifications
(35.1)
(3)
2.5 
(2)
(0.5)

(33.1)
Amounts reclassified from accumulated
    other comprehensive loss
8.2 
(4)
— 0.9 9.1 
Net current period other comprehensive
    (loss) income
(26.9)2.5 0.4 (24.0)
Balance at September 25, 2020$(52.4)$(13.3)$(23.7)$(89.4)

(1) All amounts are net of tax and noncontrolling interest.
(2) Includes a loss of $4.2 million and a gain of $3.4 million for the nine months ended October 1, 2021 and nine months ended September 25, 2020, respectively, on intra-entity foreign currency transactions that are of a long-term-investment nature.
(3) Includes a tax effect of $(1.9) million and $3.2 million for the nine months ended October 1, 2021 and nine months ended September 25, 2020, respectively.
(4) Includes amounts reclassified for both designated and dedesignated cash flow hedges. Refer to the following table for the amounts of each.
Amounts reclassified from accumulated other comprehensive (loss) income
The following table includes details about amounts reclassified from accumulated other comprehensive loss by component (U.S. dollars in millions): 
Amount of (gain) loss reclassified from accumulated other comprehensive loss
October 1, 2021September 25, 2020
Details about accumulated other comprehensive loss componentsQuarter endedNine months endedQuarter endedNine months endedAffected line item in the statement where net income is presented
Cash flow hedges:
Designated as hedging instruments:
Foreign currency cash flow hedges$(1.5)$(0.8)$3.6 $0.9 Net sales
Foreign currency cash flow hedges(0.6)— 0.1 (0.4)Cost of products sold
Bunker fuel swaps— — (0.2)1.0 Cost of products sold
Interest rate swaps2.8 8.5 2.8 6.3 Interest expense
Bunker fuel swaps no longer designated as hedging instruments(1.4)(4.6)0.3 0.3 Cost of products sold
Bunker fuel swaps no longer designated as hedging instruments— (1.0)(0.3)0.1 Other expense, net
Total$(0.7)$2.1 $6.3 $8.2 
Amortization of retirement benefits:
Actuarial losses
0.2 0.7 0.3 0.9 Other expense, net
Total$0.2 $0.7 $0.3 $0.9