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RESTRUCTURING - Changes to the Liability (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
2020 Restructuring Initiative      
Restructuring Reserve      
Net charges $ 7,278 $ 68,469 $ 93,636
April, 2022 Restructuring Initiative      
Restructuring Reserve      
Net charges 252,119    
Total | 2020 Restructuring Initiative      
Restructuring Reserve      
Beginning liability balance 11,184 59,002 0
Net charges 2,012 (3,673) 60,689
Cash payments (12,927) (44,145) (1,687)
Ending liability balance 269 11,184 59,002
Total | April, 2022 Restructuring Initiative      
Restructuring Reserve      
Beginning liability balance 0    
Net charges 29,447    
Cash payments (14,450)    
Ending liability balance 14,997 0  
Employee Separation, Continuity and Other Benefit-Related Costs | 2020 Restructuring Initiative      
Restructuring Reserve      
Beginning liability balance 10,979 58,338 0
Net charges 1,216 (7,384) 60,025
Cash payments (11,926) (39,975) (1,687)
Ending liability balance 269 10,979 58,338
Employee Separation, Continuity and Other Benefit-Related Costs | April, 2022 Restructuring Initiative      
Restructuring Reserve      
Beginning liability balance 0    
Net charges 28,345    
Cash payments (13,348)    
Ending liability balance 14,997 0  
Certain Other Restructuring Costs | 2020 Restructuring Initiative      
Restructuring Reserve      
Beginning liability balance 205 664 0
Net charges 796 3,711 664
Cash payments (1,001) (4,170) 0
Ending liability balance 0 205 $ 664
Certain Other Restructuring Costs | April, 2022 Restructuring Initiative      
Restructuring Reserve      
Beginning liability balance 0    
Net charges 1,102    
Cash payments (1,102)    
Ending liability balance $ 0 $ 0