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SUPPLEMENTAL BALANCE SHEET INFORMATION - SCHEDULE OF SUPPLEMENTAL BALANCE SHEET INFORMATION (Details) - USD ($)
$ in Thousands
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Inventories:      
Raw materials $ 477,592 $ 481,111  
Goods in process 204,674 192,232  
Finished goods 990,785 948,974  
Inventories at FIFO 1,673,051 1,622,317  
Adjustment to LIFO (418,957) (281,321)  
Total inventories 1,254,094 1,340,996  
Prepaid expenses and other:      
Prepaid expenses 269,792 227,567  
Other current assets 704,423 118,021  
Total prepaid expenses and other 974,215 345,588  
Property, plant and equipment:      
Land 194,502 180,751  
Buildings 1,991,937 1,763,070  
Machinery and equipment 4,147,530 3,861,006  
Construction in progress 478,842 644,244  
Property, plant and equipment, gross 6,812,811 6,449,071  
Accumulated depreciation (3,353,958) (3,139,393)  
Property, plant and equipment, net 3,458,853 3,309,678 $ 2,769,702
Other non-current assets:      
Pension 41,298 48,506  
Capitalized software, net 367,087 360,205  
Operating lease ROU assets 337,739 307,976  
Investments in unconsolidated affiliates 212,928 207,177  
Other non-current assets 152,815 137,563  
Total other non-current assets 1,111,867 1,061,427  
Accounts Payable:      
Accounts Payable—trade 807,918 630,536  
Supplier finance program obligations 215,122 149,261 $ 105,293
Other 136,137 306,386  
Accounts payable 1,159,177 1,086,183  
Accrued liabilities:      
Payroll, compensation and benefits 226,774 261,961  
Advertising, promotion and product allowances 359,986 343,444  
Operating lease liabilities 40,636 34,494  
Other 179,945 227,916  
Total accrued liabilities 807,341 867,815  
Other long-term liabilities:      
Post-retirement benefits liabilities 87,006 90,718  
Pension benefits liabilities 33,837 28,949  
Operating lease liabilities 304,767 277,089  
Other 262,649 263,917  
Total other long-term liabilities 688,259 660,673  
Accumulated other comprehensive loss:      
Foreign currency translation adjustments (177,741) (87,706)  
Pension and post-retirement benefit plans, net of tax (122,098) (126,800)  
Cash flow hedges, net of tax (4,051) (15,572)  
Total accumulated other comprehensive loss $ (303,890) $ (230,078)