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Restructuring and Other Charges, Net (Tables)
6 Months Ended
Jun. 29, 2025
Restructuring and Other Charges, Net  
Summary of the pre-tax cost by restructuring programs

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Second Quarter Ended

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Six Months Ended

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June 29,

         

June 30,

         

June 29,

         

June 30,

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2025

         

2024

         

2025

         

2024

    

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(in millions)

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Restructuring costs:

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2025 France Actions

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$

1.7

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$

—

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$

19.1

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$

—

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Other Actions

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1.7

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0.2

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1.6

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1.5

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Total restructuring charges

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$

3.4

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$

0.2

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$

20.7

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$

1.5

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Summary of recorded pre-tax restructuring costs by business segment

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Second Quarter Ended

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Six Months Ended

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June 29,

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June 30,

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June 29,

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June 30,

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2025

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2024

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2025

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2024

    

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(in millions)

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Americas

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$

—

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$

—

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$

—

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$

1.0

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Europe

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3.4

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0.1

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20.6

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0.1

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APMEA

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—

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0.1

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0.1

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0.4

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Total

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$

3.4

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$

0.2

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$

20.7

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$

1.5

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Summary of total incurred pre-tax restructuring costs

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Facility

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Legal and

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Asset

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exit

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Severance

     

consultancy

     

write-downs

     

and other

     

Total

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(in millions)

Costs incurred — first quarter 2025

 

$

16.1

 

$

1.1

 

$

0.2

 

$

—

 

$

17.4

Costs incurred — second quarter 2025

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0.8

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0.1

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0.4

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0.4

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1.7

Remaining costs to be incurred

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1.3

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0.5

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0.3

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2.0

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4.1

Total expected restructuring costs

 

$

18.2

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$

1.7

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$

0.9

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$

2.4

 

$

23.2

Summary of restructuring reserve activity

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Facility

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Legal and

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Asset

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exit

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Severance

    

consultancy

    

write-downs

    

and other

    

Total

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(in millions)

Balance at December 31, 2024

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$

—

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$

—

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$

—

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$

—

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$

—

Net pre-tax restructuring charges

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16.1

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1.1

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0.2

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—

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17.4

Utilization and foreign currency impact

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1.4

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(0.3)

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(0.2)

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—

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0.9

Balance at March 30, 2025

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$

17.5

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$

0.8

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$

—

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$

—

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$

18.3

Net pre-tax restructuring charges

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0.8

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0.1

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0.4

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0.4

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1.7

Utilization and foreign currency impact

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(4.7)

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(0.1)

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(0.4)

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(0.1)

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(5.3)

Balance at June 29, 2025

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$

13.6

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$

0.8

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$

—

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$

0.3

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$

14.7