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Accumulated Other Comprehensive Income (Loss) (Tables)
9 Months Ended
Sep. 30, 2022
Accumulated Other Comprehensive Income (Loss).  
Components of AOCI, Net of Income Taxes

    

Cumulative

    

Pension & Other

    

Translation

Postretirement Benefit

Cash Flow

Three Months Ended September 30, 2022 and 2021

    

Adjustments

    

Plans, Net

    

Hedges, Net

    

Total

 

Balance as of June 30, 2022

$

(153.4)

$

(27.0)

$

2.5

$

(177.9)

Other comprehensive income (loss)

 

(45.0)

 

2.4

 

(3.4)

 

(46.0)

Amounts reclassified from AOCI to net income(1)

(0.9)

(2.2)

(3.1)

Balance as of September 30, 2022

$

(198.4)

$

(25.5)

$

(3.1)

$

(227.0)

Balance as of June 30, 2021

$

(109.3)

$

(69.8)

$

(0.8)

$

(179.9)

Other comprehensive income (loss)

 

(1.7)

 

9.3

 

0.6

 

8.2

Amounts reclassified from AOCI to net income (1)

(1.2)

0.6

(0.6)

Balance as of September 30, 2021

$

(111.0)

$

(61.7)

$

0.4

$

(172.3)

    

Cumulative

    

Pension & Other

    

Translation

Postretirement Benefit

Cash Flow

Nine Months Ended September 30, 2022 and 2021

Adjustments

    

Plans, Net

    

Hedges, Net

    

Total

Balance as of December 31, 2021

$

(114.3)

$

(33.6)

$

0.7

$

(147.2)

Other comprehensive income (loss)

 

(84.1)

 

10.0

 

(2.7)

 

(76.8)

Amounts reclassified from AOCI to net income(1)

(1.9)

(1.1)

(3.0)

Balance as of September 30, 2022

$

(198.4)

$

(25.5)

$

(3.1)

$

(227.0)

Balance as of December 31, 2020

$

(109.0)

$

(71.9)

$

(5.2)

$

(186.1)

Other comprehensive income (loss)

 

(2.0)

 

9.3

 

3.0

 

10.3

Amounts reclassified from AOCI to net income(1)

0.9

2.6

3.5

Balance as of September 30, 2021

$

(111.0)

$

(61.7)

$

0.4

$

(172.3)

(1)The following is a summary of amounts reclassified from AOCI to net income (loss) for the three and nine months ended September 30, 2022 and 2021:
Summary of amounts reclassified from AOCI to net income (loss)

Three Months Ended

Nine Months Ended

September 30, 

September 30, 

Statements of Operations

AOCI Components

   

2022

   

2021

   

2022

   

2021

   

Classification

Cash flow hedging items

Foreign exchange cash flow hedges

$

$

(0.3)

$

$

Cost of sales

Commodity cash flow hedges

(2.0)

(2.0)

Cost of sales

Interest rate swaps

(0.2)

0.9

1.2

2.6

Interest expense, net

Total before tax

(2.2)

0.6

(0.8)

2.6

Tax effect

(0.3)

Provision for (benefit from) income taxes

Total, net of tax

$

(2.2)

$

0.6

$

(1.1)

$

2.6

Amortization of pension and other postretirement benefit plan items

Prior service credit

$

(0.1)

$

(0.2)

$

(0.4)

$

(0.7)

(a)

Net actuarial loss

0.6

1.7

2.0

5.3

(a)

Net curtailment and settlement gain

(1.4)

(2.5)

(3.3)

(2.5)

(a)

Total before tax

(0.9)

(1.0)

(1.7)

2.1

Tax effect

(0.2)

(0.2)

(1.2)

Provision for (benefit from) income taxes

Total, net of tax

$

(0.9)

$

(1.2)

$

(1.9)

$

0.9

(a)These AOCI components are included in the computation of net periodic benefit costs (see Note 14).