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COST REDUCTION ACTIONS - Schedule of Restructuring Charges and Payments (Details) - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 28, 2024
Cost Reduction Actions    
Beginning balance $ 19,000,000.0 $ 27,700,000
Charges, Net of Reversals   41,900,000
Cash Payments   (43,900,000)
Non-cash Impairment   (6,100,000)
Foreign Currency Translation   (600,000)
Ending balance   19,000,000.0
2025 Actions    
Cost Reduction Actions    
Beginning balance 10,000,000.0  
Charges, Net of Reversals 48,800,000  
Cash Payments (41,500,000)  
Non-cash Impairment (3,100,000)  
Foreign Currency Translation 200,000  
Ending balance 14,400,000 10,000,000.0
2025 Actions | Severance and related costs    
Cost Reduction Actions    
Beginning balance 10,000,000.0 0
Charges, Net of Reversals 45,700,000 10,000,000.0
Cash Payments (41,500,000) 0
Non-cash Impairment 0 0
Foreign Currency Translation 200,000 0
Ending balance 14,400,000 10,000,000.0
2025 Actions | Asset impairment charges    
Cost Reduction Actions    
Beginning balance 0 0
Charges, Net of Reversals 3,100,000 3,100,000
Cash Payments 0 0
Non-cash Impairment (3,100,000) (3,100,000)
Foreign Currency Translation 0 0
Ending balance 0 0
2023 Actions | Severance and related costs    
Cost Reduction Actions    
Beginning balance 9,200,000 27,700,000
Charges, Net of Reversals   25,400,000
Cash Payments   (43,300,000)
Non-cash Impairment   0
Foreign Currency Translation   (600,000)
Ending balance   9,200,000
2023 Actions | Asset impairment charges    
Cost Reduction Actions    
Beginning balance 0 0
Charges, Net of Reversals   3,000,000.0
Cash Payments   0
Non-cash Impairment   (3,000,000.0)
Foreign Currency Translation   0
Ending balance   0
2023 Actions | Lease cancellation costs    
Cost Reduction Actions    
Beginning balance $ (200,000) 0
Charges, Net of Reversals   400,000
Cash Payments   (600,000)
Non-cash Impairment   0
Foreign Currency Translation   0
Ending balance   $ (200,000)