XML 51 R40.htm IDEA: XBRL DOCUMENT v3.24.2.u1
Accumulated Other Comprehensive Loss (Tables)
6 Months Ended
Jun. 30, 2024
Accumulated Other Comprehensive Income (Loss), Net of Tax [Abstract]  
Schedule of Before Tax Income (Loss) and Related Income Tax Effect
The before tax income (loss) and related income tax effect are as follows.
For the Three Month Period Ended June 30,
20242023
Before-Tax AmountTax Benefit (Expense)Net of Tax AmountBefore-Tax AmountTax Benefit (Expense)Net of Tax Amount
Foreign currency translation adjustments, net$(26.5)$(7.5)$(34.0)$(46.6)$— $(46.6)
Unrecognized gains (losses) on cash flow hedges(7.1)5.0 (2.1)14.6 (3.7)10.9 
Pension and other postretirement benefit prior service cost and gain or loss, net(1.8)0.4 (1.4)(1.5)0.4 (1.1)
Other comprehensive loss$(35.4)$(2.1)$(37.5)$(33.5)$(3.3)$(36.8)
For the Six Month Period Ended June 30,
20242023
Before-Tax AmountTax Benefit (Expense)Net of Tax AmountBefore-Tax AmountTax Benefit (Expense)Net of Tax Amount
Foreign currency translation adjustments, net$(93.9)$(13.6)$(107.5)$(0.4)$(15.4)$(15.8)
Unrecognized gains (losses) on cash flow hedges(7.2)5.0 (2.2)7.5 (1.9)5.6 
Pension and other postretirement benefit prior service cost and gain or loss, net(3.7)0.9 (2.8)(1.7)0.4 (1.3)
Other comprehensive loss$(104.8)$(7.7)$(112.5)$5.4 $(16.9)$(11.5)
Schedule of Changes in Accumulated Other Comprehensive Income (Loss)
Changes in accumulated other comprehensive loss by component for the six month periods ended June 30, 2024 and 2023 are presented in the following table, net of tax.
Foreign Currency Translation Adjustments, NetCash Flow HedgesPension and Other Postretirement Benefit PlansTotal
Balance as of December 31, 2023$(248.0)$12.2 $8.2 $(227.6)
Other comprehensive income (loss) before reclassifications(101.1)4.4 (2.1)(98.8)
Amounts reclassified from accumulated other comprehensive loss(6.4)(6.6)(0.7)(13.7)
Other comprehensive loss(107.5)(2.2)(2.8)(112.5)
Balance as of June 30, 2024$(355.5)$10.0 $5.4 $(340.1)
Foreign Currency Translation Adjustments, NetCash Flow HedgesPension and Other Postretirement Benefit PlansTotal
Balance as of December 31, 2022$(282.8)$16.0 $15.1 $(251.7)
Other comprehensive income (loss) before reclassifications(8.2)10.1 (0.1)1.8 
Amounts reclassified from accumulated other comprehensive loss(7.6)(4.5)(1.2)(13.3)
Other comprehensive income (loss)(15.8)5.6 (1.3)(11.5)
Balance as of June 30, 2023$(298.6)$21.6 $13.8 $(263.2)
Schedule of Reclassification out of Accumulated Other Comprehensive Loss
Reclassifications out of accumulated other comprehensive loss for the six month periods ended June 30, 2024 and 2023 are presented in the following table.
Amount Reclassified from Accumulated Other Comprehensive Loss
Details about Accumulated Other Comprehensive Loss Components
For the Six Month Period Ended June 30,Affected Line(s) in the Statement Where Net Income is Presented
20242023
Cash flow hedges (interest rate swaps and caps)$(8.8)$(6.0)Interest expense
Provision for income taxes2.2 1.5 Provision for income taxes
Cash flow hedges (interest rate swaps and caps), net of tax$(6.6)$(4.5)
Net investment hedges$(8.5)$(10.2)Interest expense
Provision for income taxes2.1 2.6 Provision for income taxes
Net investment hedges, net of tax$(6.4)$(7.6)
Amortization of defined benefit pension and other postretirement benefit items(1)
$(0.9)$(1.6)Cost of sales and Selling and administrative expenses
Provision for income taxes0.2 0.4 Provision for income taxes
Amortization of defined benefit pension and other postretirement benefit items, net of tax$(0.7)$(1.2)
Total reclassifications for the period, net of tax$(13.7)$(13.3)
(1)These components are included in the computation of net periodic benefit cost. See Note 9 “Benefit Plans” for additional details.