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Segment Information (Tables)
12 Months Ended
Dec. 31, 2020
Segment Reporting [Abstract]  
Segment Information
The following table shows segment revenues and operating income for the twelve months ended December 31, 2020, 2019 and 2018:
Twelve Months Ended December 31, 2020Twelve Months Ended December 31, 2019Twelve Months Ended December 31, 2018
Segment Revenues   
Fuselage Systems$1,725.9 $4,206.2 $4,000.8 
Propulsion Systems784.5 2,057.8 1,702.5 
Wing Systems798.6 1,588.3 1,513.0 
All Other95.8 10.8 5.7 
$3,404.8 $7,863.1 $7,222.0 
Segment Operating (loss) income (1)
  
Fuselage Systems(2)
$(454.5)$440.8 $576.1 
Propulsion Systems(3)
(36.8)404.6 283.5 
Wing Systems(4)
(68.1)216.0 226.4 
All Other34.7 3.4 0.3 
(524.7)1,064.8 1,086.3 
Corporate SG&A(237.4)(261.4)(210.4)
Unallocated impact of severe weather event— — 10.0 
Research and development(38.8)(54.5)(42.5)
Unallocated cost of sales(5)
(11.9)11.9 (0.2)
Total operating (loss) income$(812.8)$760.8 $843.2 
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(1)Inclusive of forward losses, changes in estimate on loss programs and cumulative catch-up adjustments. These changes in estimates for the periods ended December 31, 2020, 2019, and 2018 are further detailed in Note 5, Changes in Estimates.
(2)The year ended December 31, 2020 includes excess capacity production costs of $175.0 related to the temporary B737 MAX production schedule changes, temporary workforce costs of $19.0 as a result of COVID-19 production pause net of U.S. employee retention credit, $41.3 of restructuring costs and $22.5 from loss on the disposition of assets.
(3)The year ended December 31, 2020 includes excess capacity production costs of $61.1 related to the temporary B737 MAX production schedule changes, temporary workforce costs of $7.2 as a result of COVID-19 production pause net of U.S employee retention credit and $15.2 of restructuring costs.
(4)The year ended December 31, 2020 includes excess capacity production costs of $42.9 related to the temporary B737 MAX and A320 production schedule changes, temporary workforce costs of $7.5 as a result of COVID-19, net of U.S employee retention credit and U.K government subsidies, $16.5 of restructuring costs and $0.4 from loss on the disposition of assets.
(5)Includes $(3.3), $13.9 and $(1.1) related to warranty reserves for the periods ended December 31, 2020, 2019 and 2018, respectively. Included in unallocated for December 31, 2020 is write off of excess material of ($8.1).
Schedule of Revenue from External Customers and Long-Lived Assets, by Geographical Areas [Table Text Block] The following chart illustrates the split between domestic and foreign revenues:
 Year Ended December 31, 2020Year Ended December 31, 2019Year Ended December 31, 2018
Revenue Source(1)
Net RevenuesPercent of
Total
Net Revenues
Net RevenuesPercent of
Total
Net Revenues
Net RevenuesPercent of
Total
Net Revenues
United States$2,637.6 77 %$6,566.3 84 %$5,967.1 83 %
International 
United Kingdom433.5 13 %771.9 10 %763.3 10 %
Other333.7 10 %524.9 %491.6 %
Total International767.2 23 %1,296.8 16 %1,254.9 17 %
Total Revenues$3,404.8 100 %$7,863.1 100 %$7,222.0 100 %
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(1)Net Revenues are attributable to countries based on destination where goods are delivered.
Most of the Company’s property, plant and equipment are located within the U.S. Approximately 19% of the Company's property, plant and equipment based on book value are located in the U.K. with approximately another 4% of the Company's total property, plant and equipment located in countries outside the U.S. and the U.K. The following chart illustrates the split between domestic and foreign assets:
 Year Ended December 31, 2020Year Ended December 31, 2019Year Ended December 31, 2018
Asset LocationTotal
PPE
Percent of
PPE
Total
PPE
Percent of
Total
PPE
Total
PPE
Percent of
Total
PPE
United States$1,931.0 77 %$2,079.4 92 %$2,003.9 92 %
International 
United Kingdom466.2 19 %112.4 %82.1 %
Other106.6 %79.9 %81.6 %
Total International572.8 23 %192.3 %163.7 %
Total Property, Plant & Equipment$2,503.8 100 %$2,271.7 100 %$2,167.6 100 %