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Cost Reduction Actions (Tables)
6 Months Ended
Jul. 03, 2021
Restructuring and Related Activities [Abstract]  
Restructuring charges and payments
During the six months ended July 3, 2021, restructuring charges and payments were as follows:
 
(In millions)   
Accrual at
   January 2, 2021
    
Charges,
Net of
   Reversals
    
Cash
   Payments
   
Non-cash
   Impairment
   
Foreign
Currency
   Translation
   
   Accrual at
July 3, 2021
 
2019/2020 Actions
                                                  
Severance and related costs
   $ 28.3      $ 4.1      $ (18.2   $     $ (.5   $ 13.7  
Asset impairment
            .4              (.4            
Total
   $ 28.3      $ 4.5      $ (18.2   $ (.4   $ (.5   $ 13.7  
Restructuring charges, net of reversals, by reportable segment and corporate
The table below shows the total amount of restructuring charges, net of reversals, incurred by reportable segment and Corporate.
 
    
Three Months Ended
   
Six Months Ended
 
(In millions)   
July 3, 2021
    
June 27, 2020
   
July 3, 2021
    
June 27, 2020
 
Restructuring charges, net of reversals, by reportable segment and Corporate
                                  
Label and Graphic Materials
   $ (.1 )    $ 25.8     $ .6      $ 26.2  
Retail Branding and Information Solutions
     1.4        12.2       3.0        13.7  
Industrial and Healthcare Materials
     .5        1.5       .5        2.0  
Corporate
     (.1 )
 
     (.2     .5        (.2
Total
   $ 1.7      $ 39.3     $ 4.6      $ 41.7