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SUPPLEMENTAL FINANCIAL INFORMATION (Tables)
12 Months Ended
Dec. 31, 2025
Supplemental Financial Information  
Schedule of Inventories
Inventories at year-end were as follows:
(In millions)20252024
Raw materials$387.6 $435.0 
Work-in-progress242.5 224.9 
Finished goods345.7 318.2 
Inventories$975.8 $978.1 
Schedule of Property, Plant and Equipment
Major classes of property, plant and equipment, stated at cost, at year-end were as follows:
(In millions)20252024
Land$37.4 $35.1 
Buildings and improvements903.5 852.3 
Machinery and equipment3,192.6 2,903.4 
Construction-in-progress138.4 202.7 
Property, plant and equipment4,271.9 3,993.5 
Accumulated depreciation(2,664.2)(2,406.8)
Property, plant and equipment, net$1,607.7 $1,586.7 
Schedule of Capitalized Software Costs
Capitalized software costs at year-end were as follows:
(In millions)20252024
Cost$396.3 $360.0 
Accumulated amortization(278.7)(249.3)
Software, net$117.6 $110.7 
Schedule of Hosting Arrangement, Service Contract, Implementation Cost
Capitalized implementation costs at year-end were as follows:
(In millions)20252024
Cost$134.4 $97.1 
Accumulated amortization(29.7)(17.9)
Capitalized implementation costs, net
$104.7 $79.2 
Schedule of Allowance for Credit Losses
The activity related to our allowance for credit losses was as follows:
(In millions)20252024
Balance at beginning of year$29.0 $34.4 
Provision for credit losses
3.2 4.6 
Amounts written off(5.9)(8.9)
Other, including foreign currency translation1.8 (1.1)
Balance at end of year$28.1 $29.0 
Schedule of Research and Development Expense
Research and development expense, which was included in “Marketing, general and administrative expense” in the Consolidated Statements of Income, was as follows:
(In millions)202520242023
Research and development expense$136.6 $137.8 $135.8 
Schedule of Cash Paid for Interest and Income Taxes
Cash paid for interest was as follows:
(In millions)202520242023
Interest$131.3 $111.8 $109.9 
Schedule of Balance Sheet Locations of Deferred Revenue
The following table shows the amounts and balance sheet locations of deferred revenue as of December 31, 2025 and December 28, 2024:
(In millions)December 31, 2025December 28, 2024
Other current liabilities$16.2 $15.5 
Long-term retirement benefits and other liabilities1.6 1.2 
Total deferred revenue$17.8 $16.7 
Schedule of Supplier Finance Program
The activity related to our supplier finance programs was as follows:
(In millions)20252024
Balance at beginning of year$384.6 $397.4 
Invoices confirmed during the year
1,291.3 1,339.3 
Invoices paid during the year
(1,316.6)(1,328.9)
Other, including foreign currency translation24.5 (23.2)
Balance at end of year$383.8 $384.6