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Derivative Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2025
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Derivative Financial Instruments at Fair Value
The following table presents assets and liabilities representing the fair value of our most significant derivative financial instruments. The fair values of the derivatives reflect the change in the market value of the derivative from the date of the trade execution and do not consider the offsetting underlying hedged item.
 Expiring at various dates through:Total USD
Equivalent
Notional
Amount
As of December 31, 2025
DerivativesAssetsLiabilities
Other
Current
Assets
Other Noncurrent AssetsOther Current
Liabilities
Other Long-Term
Liabilities
Designated as hedging instruments
Total cash flow hedges-currency hedgesJun 2027$240.5 $3.3 $.3 $.9 $ 
Total fair value hedgesApr 202683.7 .7    
Not designated as hedging instrumentsJun 2026100.6 .2  .3  
Total derivatives $4.2 $.3 $1.2 $ 
 Expiring at various dates through:Total USD
Equivalent
Notional
Amount
As of December 31, 2024
DerivativesAssetsLiabilities
Other
Current
Assets
Other Noncurrent AssetsOther Current
Liabilities
Other Long-Term
Liabilities
Designated as hedging instruments
Total cash flow hedges-currency hedgesJun 2026$254.0 $3.1 $.3 $5.8 $.3 
Total fair value hedgesJun 202519.0 .1 — .1 — 
Not designated as hedging instrumentsDec 2025166.5 1.6 — .8 — 
Total derivatives$4.8 $.3 $6.7 $.3 
Schedule of Pre-Tax (Gains) Losses of Hedging Activities
The following table sets forth the pretax (gains) losses for our hedging activities for the years presented. This schedule includes reclassifications from accumulated other comprehensive income as well as derivative settlements recorded directly to income or expense.
 Consolidated Statements of Operations PresentationAmount of Loss (Gain) Recorded in Income for the Year Ended December 31,
Derivatives202520242023
Designated as hedging instruments
Interest rate cash flow hedgesInterest expense$(.3)$(.3)$(.3)
Currency cash flow hedgesNet trade sales 3.0 1.6 3.7 
Currency cash flow hedgesCost of goods sold(1.2)(1.7)(2.5)
Currency cash flow hedgesOther (income) expense, net(.2)— — 
Total cash flow hedges 1.3 (.4).9 
Fair value hedgesOther (income) expense, net(.8).5 .9 
Not designated as hedging instrumentsOther (income) expense, net6.4 (5.7)3.9 
Total derivative instruments $6.9 $(5.6)$5.7