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SPECIAL (GAINS) AND CHARGES (Tables)
3 Months Ended
Mar. 31, 2024
Restructuring Activities  
Special (gains) and charges

First Quarter Ended 

March 31

(millions)

    

2024

2023

Cost of sales

Restructuring activities

$1.6

$3.2

Cost of sales subtotal

1.6

3.2

Special (gains) and charges

Restructuring activities

18.1

12.6

Acquisition and integration activities

2.5

5.0

Other

7.6

6.9

Special (gains) and charges subtotal

28.2

24.5

Total special (gains) and charges

$29.8

$27.7

Combined Program  
Restructuring Activities  
Restructuring activity

    

    

    

    

    

Employee

Asset

(millions)

    

Costs

    

Disposals

    

Other

    

Total

2022-2023 Activity

Recorded expense and accrual

$114.2

$14.0

$16.7

$144.9

Net cash payments

 

(90.4)

-

(16.7)

 

(107.1)

Non-cash charges

-

(14.0)

-

(14.0)

Reclassification

19.3

-

-

19.3

Net restructuring liability, December 31, 2023

43.1

-

-

43.1

2024 Activity

Recorded expense and accrual

2.3

0.4

17.0

19.7

Net cash payments

(15.9)

-

(2.4)

(18.3)

Non-cash charges

-

(0.4)

-

(0.4)

Net restructuring liability, March 31, 2024

$29.5

$-

$14.6

$44.1