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SUPPLEMENTAL BALANCE SHEET INFORMATION - SCHEDULE OF SUPPLEMENTAL BALANCE SHEET INFORMATION (Details) - USD ($)
$ in Thousands
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Inventories:      
Raw materials $ 481,111 $ 372,612  
Goods in process 192,232 137,298  
Finished goods 948,974 855,217  
Inventories at FIFO 1,622,317 1,365,127  
Adjustment to LIFO (281,321) (192,008)  
Total inventories 1,340,996 1,173,119  
Prepaid expenses and other:      
Prepaid expenses 227,567 143,888  
Other current assets 118,021 128,307  
Total prepaid expenses and other 345,588 272,195  
Property, plant and equipment:      
Land 180,751 155,963  
Buildings 1,763,070 1,545,053  
Machinery and equipment 3,861,006 3,592,251  
Construction in progress 644,244 416,220  
Property, plant and equipment, gross 6,449,071 5,709,487  
Accumulated depreciation (3,139,393) (2,939,785)  
Property, plant and equipment, net 3,309,678 2,769,702 $ 2,586,187
Other non-current assets:      
Pension 48,506 53,495  
Capitalized software, net 360,205 320,034  
Operating lease ROU assets 307,976 326,472  
Investments in unconsolidated affiliates 207,177 133,029  
Other non-current assets 137,563 111,959  
Total other non-current assets 1,061,427 944,989  
Accounts Payable:      
Accounts Payable—trade 630,536 636,472  
Supplier finance program obligations 149,261 105,293  
Other 306,386 228,793  
Accounts payable 1,086,183 970,558  
Accrued liabilities:      
Payroll, compensation and benefits 261,961 293,865  
Advertising, promotion and product allowances 343,444 337,024  
Operating lease liabilities 34,494 31,787  
Other 227,916 169,842  
Total accrued liabilities 867,815 832,518  
Other long-term liabilities:      
Post-retirement benefits liabilities 90,718 147,174  
Pension benefits liabilities 28,949 27,696  
Operating lease liabilities 277,089 294,849  
Other 263,917 250,023  
Total other long-term liabilities 660,673 719,742  
Accumulated other comprehensive loss:      
Foreign currency translation adjustments (87,706) (110,364)  
Pension and post-retirement benefit plans, net of tax (126,800) (118,254)  
Cash flow hedges, net of tax (15,572) (23,715)  
Total accumulated other comprehensive loss $ (230,078) $ (252,333)