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Restructuring Charges (Activity In Restructuring Charges) (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Restructuring Reserve      
Beginning balance $ 26,128 $ 7,647  
Amounts charged to expense 76,915 52,412 $ 17,208
Cash payments (86,024) (34,443) (15,406)
Noncash activity (1,120) (8,661)  
Ending balance 23,164 26,128 7,647
Continuing Operations      
Restructuring Reserve      
Amounts charged to expense 76,915 52,412  
Discontinued Operations      
Restructuring Reserve      
Amounts charged to expense 7,265 9,173  
2024 Plan      
Restructuring Reserve      
Beginning balance 0 0  
Amounts charged to expense 74,000    
Cash payments (50,150) 0  
Noncash activity (245) 0  
Ending balance 23,164 0 0
2024 Plan | Continuing Operations      
Restructuring Reserve      
Amounts charged to expense 66,294 0  
2024 Plan | Discontinued Operations      
Restructuring Reserve      
Amounts charged to expense 7,265 0  
2023 Plan      
Restructuring Reserve      
Beginning balance 26,128 0  
Cash payments (35,874) (23,197)  
Noncash activity (875) (8,661)  
Ending balance 0 26,128 0
2023 Plan | Continuing Operations      
Restructuring Reserve      
Amounts charged to expense 10,621 48,813  
2023 Plan | Discontinued Operations      
Restructuring Reserve      
Amounts charged to expense 0 9,173  
Prior Plan      
Restructuring Reserve      
Beginning balance 0 7,647  
Cash payments 0 (11,246)  
Noncash activity 0 0  
Ending balance 0 0 7,647
Prior Plan | Continuing Operations      
Restructuring Reserve      
Amounts charged to expense 0 3,599 $ 17,208
Prior Plan | Discontinued Operations      
Restructuring Reserve      
Amounts charged to expense $ 0 $ 0