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LEASES (Tables)
3 Months Ended
Mar. 31, 2024
Leases [Abstract]  
Schedule of Components of Lease Expense
The components of lease expense for the three months ended March 31, 2024 and April 2, 2023 were as follows:
Three Months Ended
Lease expenseClassificationMarch 31, 2024April 2, 2023
Operating lease costCost of sales or SM&A (1)$12,215 $12,043 
Finance lease cost:
Amortization of ROU assetsDepreciation and amortization (1)2,213 1,862 
Interest on lease liabilitiesInterest expense, net1,185 1,100 
Net lease cost (2)$15,613 $15,005 
(1)Supply chain-related amounts were included in cost of sales.
(2)Net lease cost does not include short-term leases, variable lease costs or sublease income, all of which are immaterial.
Information regarding our lease terms and discount rates were as follows:
March 31, 2024December 31, 2023
Weighted-average remaining lease term (years)
Operating leases14.114.4
Finance leases25.625.9
Weighted-average discount rate
Operating leases3.5 %3.5 %
Finance leases6.3 %6.2 %
Schedule of Supplemental Balance Sheet Information
Supplemental balance sheet information related to leases were as follows:
LeasesClassificationMarch 31, 2024December 31, 2023
Assets
Operating lease ROU assetsOther non-current assets$307,664 $307,976 
Finance lease ROU assets, at costProperty, plant and equipment, gross89,759 89,335 
Accumulated amortizationAccumulated depreciation(20,810)(19,472)
Finance lease ROU assets, netProperty, plant and equipment, net68,949 69,863 
Total leased assets$376,613 $377,839 
Liabilities
Current
OperatingAccrued liabilities$35,224 $34,494 
FinanceCurrent portion of long-term debt6,254 5,900 
Non-current
OperatingOther long-term liabilities276,417 277,089 
FinanceLong-term debt70,475 70,485 
Total lease liabilities$388,370 $387,968 
The components of certain asset accounts included within our Consolidated Balance Sheets are as follows:
March 31, 2024December 31, 2023
Inventories:
Raw materials$527,719 $481,111 
Goods in process226,527 192,232 
Finished goods818,586 948,974 
Inventories at First In First Out1,572,832 1,622,317 
Adjustment to Last In First Out(434,975)(281,321)
Total inventories$1,137,857 $1,340,996 
Prepaid expenses and other:
Prepaid expenses$129,654 $227,567 
Other current assets393,738 118,021 
Total prepaid expenses and other$523,392 $345,588 
Property, plant and equipment:
Land$180,547 $180,751 
Buildings1,776,563 1,763,070 
Machinery and equipment4,000,536 3,861,006 
Construction in progress573,657 644,244 
Property, plant and equipment, gross6,531,303 6,449,071 
Accumulated depreciation(3,198,207)(3,139,393)
Property, plant and equipment, net$3,333,096 $3,309,678 
Other non-current assets:
Pension$49,594 $48,506 
Capitalized software, net371,254360,205 
Operating lease ROU assets307,664 307,976 
Investments in unconsolidated affiliates190,419 207,177 
Other non-current assets152,134 137,563 
Total other non-current assets$1,071,065 $1,061,427 
The components of certain liability and stockholders’ equity accounts included within our Consolidated Balance Sheets are as follows:
March 31, 2024December 31, 2023
Accounts payable:
Accounts payable—trade$532,335 $630,536 
Supplier finance program obligations201,109 149,261 
Other212,556 306,386 
Total accounts payable$946,000 $1,086,183 
Accrued liabilities:
Payroll, compensation and benefits$170,343 $261,961 
Advertising, promotion and product allowances436,474 343,444 
Operating lease liabilities35,224 34,494 
Other230,434 227,916 
Total accrued liabilities$872,475 $867,815 
Other long-term liabilities:
Post-retirement benefits liabilities$93,469 $90,718 
Pension benefits liabilities26,104 28,949 
Operating lease liabilities276,417 277,089 
Other267,658 263,917 
Total other long-term liabilities$663,648 $660,673 
Accumulated other comprehensive loss:
Foreign currency translation adjustments$(92,704)$(87,706)
Pension and post-retirement benefit plans, net of tax(124,909)(126,800)
Cash flow hedges, net of tax(13,222)(15,572)
Total accumulated other comprehensive loss$(230,835)$(230,078)
Schedule of Maturity of Operating Lease Liabilities
The maturity of our lease liabilities as of March 31, 2024 were as follows:
Operating leasesFinance leasesTotal
2024 (rest of year)$36,307 $7,991 $44,298 
202535,441 9,330 44,771 
202628,146 6,179 34,325 
202726,635 4,421 31,056 
202825,499 4,216 29,715 
Thereafter243,152 137,910 381,062 
Total lease payments395,180 170,047 565,227 
Less: Imputed interest83,539 93,318 176,857 
Total lease liabilities$311,641 $76,729 $388,370 
Schedule of Maturity of Finance Lease Liabilities
The maturity of our lease liabilities as of March 31, 2024 were as follows:
Operating leasesFinance leasesTotal
2024 (rest of year)$36,307 $7,991 $44,298 
202535,441 9,330 44,771 
202628,146 6,179 34,325 
202726,635 4,421 31,056 
202825,499 4,216 29,715 
Thereafter243,152 137,910 381,062 
Total lease payments395,180 170,047 565,227 
Less: Imputed interest83,539 93,318 176,857 
Total lease liabilities$311,641 $76,729 $388,370 
Schedule of Supplemental Cash Flow Information Related To Leases
Supplemental cash flow and other information related to leases were as follows:
Three Months Ended
March 31, 2024April 2, 2023
Cash paid for amounts included in the measurement of lease liabilities:
Operating cash flows from operating leases$11,824 $11,281 
Operating cash flows from finance leases1,185 1,100 
Financing cash flows from finance leases1,563 1,183 
ROU assets obtained in exchange for lease liabilities:
Operating leases$9,043 $3,735 
Finance leases983 292