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Accumulated Other Comprehensive Loss (Tables)
3 Months Ended
Jun. 30, 2025
Accumulated Other Comprehensive Loss  
Accumulated other comprehensive loss

Changes in accumulated other comprehensive loss were as follows:

Three months ended June 30, 2025

    

Foreign

    

    

    

Currency

Defined

Cash Flow

 

Translation

Benefit Plans

Hedges

Total

Beginning balance

    

$

(76.8)

    

$

(103.8)

    

$

(0.7)

    

$

(181.3)

Other comprehensive income before reclassifications

 

47.2

 

 

1.4

 

48.6

Reclassifications:

 

  

 

  

 

  

 

  

Amortization of unrecognized net loss (a)

 

 

1.1

 

 

1.1

Realized losses - net (b)

 

 

 

0.5

 

0.5

Income taxes

 

 

(0.3)

 

(0.5)

 

(0.8)

Total other comprehensive income

 

47.2

 

0.8

 

1.4

 

49.4

Ending balance

$

(29.6)

$

(103.0)

$

0.7

$

(131.9)

Three months ended June 30, 2024

Foreign

Currency

Defined

Cash Flow

 

    

Translation

    

Benefit Plans

    

Hedges

    

Total

Beginning balance

$

(62.8)

$

(100.7)

$

0.1

$

(163.4)

Other comprehensive income (loss) before reclassifications

 

(6.9)

 

 

 

(6.9)

Reclassifications:

 

  

 

  

 

  

 

  

Amortization of unrecognized net loss (a)

 

 

1.1

 

 

1.1

Income taxes

 

 

(0.3)

 

 

(0.3)

Total other comprehensive income (loss)

 

(6.9)

 

0.8

 

 

(6.1)

Ending balance

$

(69.7)

$

(99.9)

$

0.1

$

(169.5)

____

(a)Amounts are included in the calculation of net periodic benefit cost for the Company’s defined benefit plans, which include pension and other postretirement plans. See Note 5 for additional information about the Company’s pension plans.
(b)Amounts represent net gains and losses associated with cash flow hedges that were reclassified to net earnings.