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RATIONALIZATION CHARGES (Tables)
12 Months Ended
Dec. 31, 2025
Restructuring and Related Activities [Abstract]  
Schedule of Rationalization Charges and Activity in Rationalization Plan Reserves Rationalization charges by segment for each of the years ended December 31 were as follows:
202520242023
 (Dollars in thousands)
Dispensing and Specialty Closures$37,425 $23,055 $11,285 
Metal Containers17,411 14,469 (7,849)
Custom Containers5,673 21,957 4,976 
 $60,509 $59,481 $8,412 
Activity in reserves for our rationalization plans was as follows:
Employee
Severance
and Benefits
Plant
Exit
Costs
Non-Cash
Asset
Write-Down
Total
 (Dollars in thousands)
Balance as of January 1, 2023$31,641 $159 $— $31,800 
Charged to expense12,314 6,175 (10,077)8,412 
Utilized and currency translation(10,400)(5,869)10,077 (6,192)
Balance at December 31, 202333,555 465 — 34,020 
Charged to expense8,972 20,607 29,902 59,481 
Utilized and currency translation(13,209)(21,072)(29,902)(64,183)
Balance at December 31, 202429,318 — — 29,318 
Charged to expense28,356 13,603 18,550 60,509 
Utilized and currency translation(12,712)(13,411)(18,550)(44,673)
Balance at December 31, 2025$44,962 $192 $— $45,154