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Restructuring And Cost Reduction Programs (Tables)
12 Months Ended
Dec. 31, 2019
Restructuring And Cost Reduction Programs [Abstract]  
Summary of Charges Associated with Restructuring Programs by Major Type of Charges

Employee

Severance

Other Costs

Total

(Dollars in thousands)

Expected restructuring charges:

Global Optimization Program

$

7,500

76

$

7,576

Total expected restructuring charges

$

7,500

$

76

$

7,576

Restructuring charges incurred:

Global Optimization Program

$

3,701

3,256

$

6,957

Charges incurred in 2017

$

3,701

$

3,256

$

6,957

Global Optimization Program

3,560

3,556

7,116

Charges incurred in 2018

$

3,560

$

3,556

$

7,116

Global Optimization Program

7,163

3,792

10,955

Charges incurred in 2019

$

7,163

$

3,792

$

10,955

Cumulative restructuring charges incurred:

Global Optimization Program

44,251

33,062

77,313

Cumulative restructuring charges incurred as of December 31, 2019

$

44,251

$

33,062

$

77,313

Summary of Charges Associated with Restructuring Programs by Segments

Total

Cumulative

Expected

Charges To

Charges

2019

2018

2017

Date

(Dollars in thousands)

Performance Colors and Glass

$

169

$

(5)

$

23

$

3,744

$

26,927

Color Solutions

100

124

148

1,250

4,461

Segment Total

269

119

171

4,994

31,388

Corporate Restructuring Charges

7,307

10,836

6,945

1,963

45,925

Total Restructuring Charges

$

7,576

$

10,955

$

7,116

$

6,957

$

77,313

Summary Of Accruals Related To Restructuring And Cost Reduction Programs

Employee

Severance

Other Costs

Total

(Dollars in thousands)

Balance at December 31, 2016

$

209

$

1,489

$

1,698

Restructuring charges

$

3,701

$

3,256

6,957

Cash payments

(2,797)

(500)

(3,297)

Non-cash items

196

(3,255)

(3,059)

Balance at December 31, 2017

$

1,309

$

990

$

2,299

Restructuring charges

$

3,560

$

3,556

$

7,116

Cash payments

(3,678)

(597)

(4,275)

Non-cash items

(180)

(3,117)

(3,297)

Balance at December 31, 2018

$

1,011

$

832

$

1,843

Restructuring charges

7,163

3,792

$

10,955

Cash payments

(6,987)

(1,831)

(8,818)

Non-cash items

(440)

(1,301)

(1,741)

Balance at December 31, 2019

$

747

$

1,492

$

2,239