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Restructuring and asset impairment (Tables)
12 Months Ended
Dec. 31, 2019
Restructuring and Related Activities [Abstract]  
Restructuring and related costs
Following are the total restructuring and asset impairment charges, net of adjustments, recognized during the periods presented:

 Year Ended December 31,
  
201920182017
Restructuring and restructuring-related asset impairment charges$44,819  $40,071  $19,834  
Other asset impairments15,061  —  18,585  
Restructuring/Asset impairment charges$59,880  $40,071  $38,419  
The table below sets forth restructuring and restructuring-related asset impairment charges by type incurred:

 Year Ended December 31,
201920182017
Severance and Termination Benefits$24,864  $15,224  $12,684  
Asset Impairment/Disposal of Assets9,674  6,193  120  
Other Costs10,281  18,654  7,030  
Total restructuring and restructuring-related asset impairment charges$44,819  $40,071  $19,834  

The table below sets forth restructuring and restructuring-related asset impairment charges by reportable segment:
 Year Ended December 31,
201920182017
Consumer Packaging$34,850  $15,205  $6,751  
Display and Packaging2,459  18,800  2,048  
Paper and Industrial Converted Products4,927  4,301  7,410  
Protective Solutions519  1,532  3,162  
Corporate2,064  233  463  
Total restructuring and restructuring-related asset impairment charges$44,819  $40,071  $19,834  
Schedule of restructuring reserve by type of cost
The following table sets forth the activity in the restructuring accrual included in “Accrued expenses and other” on the Company’s Consolidated Balance Sheets:

Accrual Activity
Severance
and
Termination
Benefits
Asset
Impairment/
Disposal
of Assets
Other
Costs
Total
Liability, December 31, 2017$5,982  $—  $1,164  $7,146  
2018 charges15,224  6,193  18,654  40,071  
Cash (payments)/receipts(15,844) 26,566  (17,541) (6,819) 
Asset write downs/disposals—  (32,759) —  (32,759) 
Foreign currency translation(69) —   (67) 
Liability, December 31, 2018$5,293  $—  $2,279  $7,572  
2019 charges24,864  9,674  10,281  44,819  
Cash (payments)/receipts(19,386) 5,225  (11,983) (26,144) 
Asset write downs/disposals—  (14,899) —  (14,899) 
Foreign currency translation(6) —  15   
Liability, December 31, 2019$10,765  $—  $592  $11,357