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SUPPLEMENTAL BALANCE SHEET INFORMATION - SCHEDULE OF SUPPLEMENTAL BALANCE SHEET INFORMATION (Details) - USD ($)
$ in Thousands
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Inventories:      
Raw materials $ 762,391 $ 477,592  
Goods in process 294,374 204,674  
Finished goods 1,074,690 990,785  
Inventories at FIFO 2,131,455 1,673,051  
Adjustment to LIFO (702,201) (418,957)  
Total inventories 1,429,254 1,254,094  
Prepaid expenses and other:      
Prepaid expenses 201,527 269,792  
Other current assets 302,712 704,423  
Total prepaid expenses and other 504,239 974,215  
Property, plant and equipment:      
Land 199,559 194,502  
Buildings 2,102,794 1,991,937  
Machinery and equipment 4,515,447 4,147,530  
Construction in progress 324,998 478,842  
Property, plant and equipment, gross 7,142,798 6,812,811  
Accumulated depreciation (3,613,190) (3,353,958)  
Property, plant and equipment, net 3,529,608 3,458,853 $ 3,309,678
Other non-current assets:      
Pension 64,520 41,298  
Capitalized software, net 351,285 367,087  
Operating lease ROU assets 325,345 337,739  
Investments in unconsolidated affiliates 176,567 212,928  
Other non-current assets 205,568 152,815  
Total other non-current assets 1,123,285 1,111,867  
Accounts Payable:      
Accounts Payable—trade 831,204 807,918  
Supplier finance program obligations 300,332 215,122 $ 149,261
Other 124,165 136,137  
Accounts payable 1,255,701 1,159,177  
Accrued liabilities:      
Payroll, compensation and benefits 311,241 226,774  
Advertising, promotion and product allowances 373,940 359,986  
Operating lease liabilities 49,583 40,636  
Other 235,833 179,945  
Total accrued liabilities 970,597 807,341  
Other long-term liabilities:      
Post-retirement benefits liabilities 98,101 87,006  
Pension benefits liabilities 42,987 33,837  
Operating lease liabilities 285,925 304,767  
Other 304,904 262,649  
Total other long-term liabilities 731,917 688,259  
Accumulated other comprehensive loss:      
Foreign currency translation adjustments (136,508) (177,741)  
Pension and post-retirement benefit plans, net of tax (107,620) (122,098)  
Cash flow hedges, net of tax (3,222) (4,051)  
Total accumulated other comprehensive loss $ (247,350) $ (303,890)