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Supplemental Guarantor Information (Tables)
6 Months Ended
Jun. 30, 2019
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Condensed Consolidating Statement of Operations and Comprehensive Income (Loss)
Condensed Consolidating Statement of Operations and Comprehensive Income (Loss)
Three months ended June 30, 2018
In millions
Parent
Company
Guarantor
Subsidiary
Guarantor
Subsidiary
Issuer
Non-guarantor
Subsidiaries
Eliminations
Consolidated
Total
Net sales
$

$

$

$
780.6

$

$
780.6

Cost of goods sold



498.0


498.0

Gross profit



282.6


282.6

Selling, general and administrative expenses
8.1


0.4

132.4


140.9

Research and development expenses



19.1


19.1

Operating (loss) income
(8.1
)

(0.4
)
131.1


122.6

(Earnings) loss from continuing operations of investment in subsidiaries
(88.5
)
(88.1
)
(138.1
)

314.7


Other (income) expense:
 
 
 
 
 
 
Loss on sale of business



0.9


0.9

Loss on early extinguishment of debt


17.1



17.1

Net interest (income) expense

(0.4
)
7.3

3.2


10.1

Other income



(4.2
)

(4.2
)
Income (loss) from continuing operations before income taxes
80.4

88.5

113.3

131.2

(314.7
)
98.7

Provision for income taxes
2.5



18.3


20.8

Net income (loss) from continuing operations
77.9

88.5

113.3

112.9

(314.7
)
77.9

Loss from discontinued operations, net of tax



(36.4
)

(36.4
)
(Loss) earnings from discontinued operations of investment in subsidiaries
(36.4
)
(36.4
)
(36.4
)

109.2


Net income (loss)
$
41.5

$
52.1

$
76.9

$
76.5

$
(205.5
)
$
41.5

Comprehensive income (loss), net of tax
 
 
 
 
 
 
Net income (loss)
$
41.5

$
52.1

$
76.9

$
76.5

$
(205.5
)
$
41.5

Changes in cumulative translation adjustment
22.8

22.8

22.8

22.8

(68.4
)
22.8

Changes in market value of derivative financial instruments, net of tax
4.1

4.1

4.1

4.1

(12.3
)
4.1

Comprehensive income (loss)
$
68.4

$
79.0

$
103.8

$
103.4

$
(286.2
)
$
68.4


Schedule of Condensed Consolidating Balance Sheet
Condensed Consolidating Balance Sheet
June 30, 2019
In millions
Parent
Company
Guarantor
Subsidiary
Guarantor
Subsidiary
Issuer
Non-guarantor
Subsidiaries
Eliminations
Consolidated
Total
Assets
Current assets
 
 
 
 
 
 
Cash and cash equivalents
$
0.3

$

$
0.1

$
80.1

$

$
80.5

Accounts and notes receivable, net
1.2


1.1

458.9

(1.6
)
459.6

Inventories



396.7


396.7

Other current assets
2.9


0.1

101.7


104.7

Total current assets
4.4


1.3

1,037.4

(1.6
)
1,041.5

Property, plant and equipment, net



280.3


280.3

Other assets
 
 
 
 
 
 
Investments in subsidiaries
1,969.2

1,968.7

2,719.8


(6,657.7
)

Goodwill



2,287.5


2,287.5

Intangibles, net



354.2


354.2

Other non-current assets
22.3

1.0

1,591.5

184.2

(1,592.5
)
206.5

Total other assets
1,991.5

1,969.7

4,311.3

2,825.9

(8,250.2
)
2,848.2

Total assets
$
1,995.9

$
1,969.7

$
4,312.6

$
4,143.6

$
(8,251.8
)
$
4,170.0

Liabilities and Equity
Current liabilities
 
 
 
 
 
 
Accounts payable
$
6.1

$

$
0.1

$
257.1

$
(1.6
)
$
261.7

Employee compensation and benefits
0.2



68.5


68.7

Other current liabilities
33.7

0.5

7.7

337.9


379.8

Total current liabilities
40.0

0.5

7.8

663.5

(1.6
)
710.2

Other liabilities
 
 
 
 
 
 
Long-term debt
128.8


2,336.3

342.5

(1,592.5
)
1,215.1

Pension and other post-retirement compensation and benefits



89.2


89.2

Deferred tax liabilities



119.8


119.8

Other non-current liabilities
20.5



208.6


229.1

Total liabilities
189.3

0.5

2,344.1

1,423.6

(1,594.1
)
2,363.4

Equity
1,806.6

1,969.2

1,968.5

2,720.0

(6,657.7
)
1,806.6

Total liabilities and equity
$
1,995.9

$
1,969.7

$
4,312.6

$
4,143.6

$
(8,251.8
)
$
4,170.0


Condensed Consolidating Balance Sheet
December 31, 2018
In millions
Parent
Company
Guarantor
Subsidiary
Guarantor
Subsidiary
Issuer
Non-guarantor
Subsidiaries
Eliminations
Consolidated
Total
Assets
Current assets
 
 
 
 
 
 
Cash and cash equivalents
$
0.1

$

$
0.1

$
74.1

$

$
74.3

Accounts and notes receivable, net
4.6



483.6


488.2

Inventories



387.5


387.5

Other current assets
3.4


2.2

99.2

(15.4
)
89.4

Total current assets
8.1


2.3

1,044.4

(15.4
)
1,039.4

Property, plant and equipment, net



272.6


272.6

Other assets
 
 
 
 
 
 
Investments in subsidiaries
1,903.8

2,036.1

2,675.7


(6,615.6
)

Goodwill



2,072.7


2,072.7

Intangibles, net



276.3


276.3

Other non-current assets
23.3


696.1

729.7

(1,303.6
)
145.5

Total other assets
1,927.1

2,036.1

3,371.8

3,078.7

(7,919.2
)
2,494.5

Total assets
$
1,935.2

$
2,036.1

$
3,374.1

$
4,395.7

$
(7,934.6
)
$
3,806.5

Liabilities and Equity
Current liabilities
 
 
 
 
 
 
Accounts payable
$
0.9

$

$

$
377.7

$

$
378.6

Employee compensation and benefits
0.2



111.5


111.7

Other current liabilities
47.6

1.5

4.4

290.3

(15.4
)
328.4

Total current liabilities
48.7

1.5

4.4

779.5

(15.4
)
818.7

Other liabilities
 
 
 
 
 
 
Long-term debt
29.9

130.8

1,333.9

596.6

(1,303.6
)
787.6

Pension and other post-retirement compensation and benefits



90.0


90.0

Deferred tax liabilities



105.9


105.9

Other non-current liabilities
20.5



147.7


168.2

Total liabilities
99.1

132.3

1,338.3

1,719.7

(1,319.0
)
1,970.4

Equity
1,836.1

1,903.8

2,035.8

2,676.0

(6,615.6
)
1,836.1

Total liabilities and equity
$
1,935.2

$
2,036.1

$
3,374.1

$
4,395.7

$
(7,934.6
)
$
3,806.5


Schedule of Condensed Consolidating Statement of Cash Flows
Condensed Consolidating Statement of Cash Flows
Six months ended June 30, 2019
In millions
Parent
Company
Guarantor
Subsidiary
Guarantor
Subsidiary
Issuer
Non-guarantor
Subsidiaries
Eliminations
Consolidated
Total
Operating activities
 
 
 
 
 
 
Net cash provided by (used for) operating activities
$
157.2

$
170.4

$
179.1

$
104.3

$
(514.3
)
$
96.7

Investing activities
 
 
 
 
 
 
Capital expenditures



(29.8
)

(29.8
)
Proceeds from sale of property and equipment



0.4


0.4

Proceeds from the sale of businesses



0.7


0.7

Acquisitions, net of cash acquired



(284.5
)

(284.5
)
Net intercompany loan activity


(604.3
)
(21.9
)
626.2


Other



(1.5
)

(1.5
)
Net cash (used for) provided by investing activities


(604.3
)
(336.6
)
626.2

(314.7
)
Financing activities
 
 
 
 
 
 
Net receipts (repayments) of commercial paper and revolving long-term debt


55.0

(22.1
)

32.9

Proceeds from long-term debt


400.0



400.0

Debt issuance costs


(5.7
)


(5.7
)
Net change in advances to subsidiaries
47.8

(170.4
)
(24.3
)
258.8

(111.9
)

Shares issued to employees, net of shares withheld
7.2





7.2

Repurchases of ordinary shares
(150.0
)




(150.0
)
Dividends paid
(62.0
)




(62.0
)
Net cash (used for) provided by financing activities
(157.0
)
(170.4
)
425.0

236.7

(111.9
)
222.4

Effect of exchange rate changes on cash and cash equivalents


0.2

1.6


1.8

Change in cash and cash equivalents
0.2



6.0


6.2

Cash and cash equivalents, beginning of period
0.1


0.1

74.1


74.3

Cash and cash equivalents, end of period
$
0.3

$

$
0.1

$
80.1

$

$
80.5


Condensed Consolidating Statement of Cash Flows
Six months ended June 30, 2018
In millions
Parent
Company
Guarantor
Subsidiary
Guarantor
Subsidiary
Issuer
Non-guarantor
Subsidiaries
Eliminations
Consolidated
Total
Operating activities
 
 
 
 
 
 
Net cash provided by (used for) operating activities
$
101.1

$
162.2

$
177.5

$
272.6

$
(541.5
)
$
171.9

Investing activities
 
 
 
 
 
 
Capital expenditures



(20.3
)

(20.3
)
Proceeds from sale of property and equipment



(0.5
)

(0.5
)
Payments due to sale of businesses, net



(12.8
)

(12.8
)
Acquisitions, net of cash acquired



(0.9
)

(0.9
)
Net intercompany loan activity
30.8

59.9

22.5

490.6

(603.8
)

Net cash provided by (used for) investing activities of continuing operations
30.8

59.9

22.5

456.1

(603.8
)
(34.5
)
Net cash used for investing activities of discontinued operations



(7.1
)

(7.1
)
Net cash provided by (used for) investing activities
30.8

59.9

22.5

449.0

(603.8
)
(41.6
)
Financing activities
 
 
 
 
 
 
Net receipts (repayments) of commercial paper and revolving long-term debt


43.8

(13.6
)

30.2

Repayments of long-term debt


(675.1
)


(675.1
)
Premium paid on early extinguishment of debt


(16.0
)


(16.0
)
Transfer of cash to nVent



(74.2
)

(74.2
)
Distribution from nVent spin-off


993.6



993.6

Net change in advances to subsidiaries
287.8

(222.1
)
(517.0
)
(694.0
)
1,145.3


Shares issued to employees, net of shares withheld
6.3





6.3

Repurchases of ordinary shares
(300.0
)




(300.0
)
Dividends paid
(125.9
)




(125.9
)
Net cash (used for) provided by financing activities
(131.8
)
(222.1
)
(170.7
)
(781.8
)
1,145.3

(161.1
)
Change in cash held for sale



27.0


27.0

Effect of exchange rate changes on cash and cash equivalents


(26.1
)
22.3


(3.8
)
Change in cash and cash equivalents
0.1


3.2

(10.9
)

(7.6
)
Cash and cash equivalents, beginning of period



86.3


86.3

Cash and cash equivalents, end of period
$
0.1

$

$
3.2

$
75.4

$

$
78.7