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Restructuring and Related Charges (Tables)
6 Months Ended
Jun. 26, 2020
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring and Related Charges by Segment
Net restructuring and related charges by segment were as follows:
Three Months EndedSix Months Ended
June 26,
2020
June 28,
2019
June 26,
2020
June 28,
2019
Specialty Brands
$0.1  $(0.1) $0.1  $0.4  
Specialty Generics
—  (0.9) 0.1  2.6  
Corporate
14.3  0.8  12.4  1.0  
Restructuring charges, net
$14.4  $(0.2) $12.6  $4.0  
Schedule of Net Restructuring and Related Charges
Net restructuring and related charges by program were comprised of the following:
Three Months EndedSix Months Ended
June 26,
2020
June 28,
2019
June 26,
2020
June 28,
2019
2018 Program
$14.5  $(0.9) $14.6  $2.6  
2016 Program
(0.1) 1.5  (0.1) 2.2  
Acquisition Programs
—  (0.8) (1.9) (0.8) 
Total charges expected to be settled in cash
$14.4  $(0.2) $12.6  $4.0  
Schedule of Restructuring Reserves Reconciliation by Program
The following table summarizes cash activity for restructuring reserves, substantially all of which related to contract termination costs, employee severance and benefits and exiting of certain facilities:
2018 Program2016 ProgramAcquisition ProgramsTotal
Balance as of December 27, 2019$2.7  $31.3  $0.2  $34.2  
Charges
14.6  0.1  —  14.7  
Changes in estimate
—  (0.2) (1.9) (2.1) 
Cash payments
(3.3) (30.5) (0.2) (34.0) 
Currency translation and other
—  —  1.9  1.9  
Balance as of June 26, 2020$14.0  $0.7  $—  $14.7  
Schedule of Restructuring Charges Incurred Cumulative to Date
As of June 26, 2020, net restructuring and related charges incurred cumulative to date were as follows:
2018 Program2016 Program
Specialty Brands$3.0  $68.1  
Specialty Generics10.1  14.6  
Corporate16.5  28.8  
$29.6  $111.5