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FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Dec. 31, 2021
Fair Value Disclosures [Abstract]  
Schedule of Contingent Consideration Liabilities Recorded Using Level 3 Inputs, Amounts Classified as Either Other Current Liabilities or Other Liabilities
Our contingent consideration liabilities are reassessed at the end of every reporting period and are recorded using Level 3 inputs. The amounts are classified as either other current liabilities or other liabilities and are presented as follows as of December 31:
In millions
20212020
Other current liabilities$— $0.4 
Other liabilities5.3 5.3 
Total contingent consideration$5.3 $5.7 
Changes to Contingent Consideration
Changes to contingent consideration are reflected in the table below:
In millions
Contingent consideration as of January 1, 2019$8.0 
Change in fair value reflected in SG&A(2.1)
Currency Translation Adjustment(0.1)
Decrease due to payments(0.1)
Contingent consideration as of December 31, 20205.7 
Change in fair value reflected in SG&A(0.4)
Contingent consideration as of December 31, 2021$5.3 
Estimated Fair Value of Company's Debt Obligations, Using Level 2 Inputs, Compared to Carrying Amount
Fair Value of Debt: The estimated fair value of the Company’s debt obligations, using Level 2 inputs, compared to the carrying amount at December 31 was as follows:
In billions
20212020
Fair value of debt obligations$1.63 $1.86 
Carrying value of debt obligations1.62 1.80