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COST REDUCTION ACTIONS (Tables)
12 Months Ended
Dec. 31, 2025
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Charges and Payments
During 2025, restructuring charges and payments were as follows:
(In millions)Accrual at
December 28,
2024
Charges,
Net of
Reversals
Cash
Payments
Non-cash
Impairment
Foreign
Currency
Translation
Accrual at
December 31,
2025
2025 Actions
Severance and related costs$10.0 $45.7 $(41.5)$— $.2 $14.4 
Asset impairment charges— 3.1 — (3.1)— — 
Total$10.0 $48.8 $(41.5)$(3.1)$.2 $14.4 
During 2024, restructuring charges and payments were as follows:
(In millions)Accrual at
December 30,
2023
Charges,
Net of
Reversals
Cash
Payments
Non-cash
Impairment
Foreign
Currency
Translation
Accrual at
December 28,
2024
2025 Actions
Severance and related costs$— $10.0 $— $— $— $10.0 
Asset impairment charges— 3.1 — (3.1)— — 
2023 Actions
Severance and related costs27.7 25.4 (43.3)— (.6)9.2 
Asset impairment charges— 3.0 — (3.0)— — 
Lease cancellation costs— .4 (.6)— — (.2)
Total$27.7 $41.9 $(43.9)$(6.1)$(.6)$19.0 
Schedule of Restructuring Charges Incurred by Reportable Segment and Corporate
The table below shows the total amount of restructuring charges incurred by reportable segment and Corporate.
(In millions)202520242023
Restructuring charges by reportable segment and Corporate
Materials Group$22.9 $5.7 $52.4 
Solutions Group23.4 35.8 23.2 
Corporate.9 .4 3.8 
Total$47.2 $41.9 $79.4