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Restructuring and Related Activities (Tables)
12 Months Ended
Dec. 31, 2021
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Reserves The following represents the Company’s restructuring activities for the period indicated:
DxDDTotal
Severance and Other
Employee Costs
Lease and Other
Facility Costs
Severance and Other
Employee Costs
Lease and Other
Facility Costs
Balance as of December 31, 2019$0.5 $2.7 $5.5 $4.7 13.4 
Restructuring charges5.2 5.5 8.9 13.4 33.0 
Impairment of facility related assets— 7.5 — 9.9 17.4 
Reduction of prior restructuring accruals(0.1)(2.8)(0.5)(6.4)(9.8)
Cash payments and other adjustments(5.3)(12.5)(11.5)(16.9)(46.2)
Balance as of December 31, 20200.3 0.4 2.4 4.7 7.8 
Restructuring charges7.8 11.0 8.5 17.0 44.3 
Reduction of prior restructuring accruals— (0.2)(0.4)(0.6)(1.2)
Cash payments and other adjustments(7.1)(10.9)(7.2)(17.3)(42.5)
Balance as of December 31, 2021$1.0 $0.3 $3.3 $3.8 $8.4 
Current  $6.8 
Non-current  1.6 
   $8.4