XML 204 R132.htm IDEA: XBRL DOCUMENT v3.25.4
BALANCE SHEET VALUES OF FINANCIAL ASSETS AND LIABILITIES BY MEASUREMENT CATEGORIES - Schedule of financial assets and liabilities per level (Details) - USD ($)
$ in Millions
Dec. 31, 2025
Dec. 31, 2024
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS $ 134.3 $ 127.5
FINANCIAL LIABILITIES 841.0 671.1
Contingent consideration related to acquisitions    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 20.0 0.0
Amortized cost | Non-current borrowings    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 792.3 790.8
Amortized cost | Non-current lease liabilities    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 660.9 439.0
Amortized cost | Other non-current liabilities    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 4.0 13.6
Amortized cost | Current other borrowings    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 142.8 136.5
Amortized cost | Current lease liabilities    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 157.1 116.9
Amortized cost | Accounts payable    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 769.8 549.0
Amortized cost | Other current liabilities    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 841.0 671.1
Fair value through OCI | Foreign exchange derivatives    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 3.2 0.6
Fair value through OCI | Cross Currency Swaps - used in hedge accounting    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 0.0 1.2
Fair value through OCI | Foreign exchange derivatives - not used in hedge accounting    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 62.2 14.3
Fair value through profit or loss | Contingent consideration related to acquisitions    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 20.0  
Fair value through profit or loss | Foreign exchange derivatives - not used in hedge accounting    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 6.0 8.0
Fair Value | Amortized cost | Non-current borrowings    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 835.8 809.0
Fair Value | Fair value through OCI | Foreign exchange derivatives    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 3.2 0.6
Fair Value | Fair value through OCI | Cross Currency Swaps - used in hedge accounting    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 0.0 1.2
Fair Value | Fair value through OCI | Foreign exchange derivatives - not used in hedge accounting    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 62.2 14.3
Fair Value | Fair value through profit or loss | Contingent consideration related to acquisitions    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 20.0  
Fair Value | Fair value through profit or loss | Foreign exchange derivatives - not used in hedge accounting    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 6.0 8.0
Fair Value | Level 1    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 0.0 0.0
FINANCIAL LIABILITIES 0.0 0.0
Fair Value | Level 2    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 24.3 46.7
FINANCIAL LIABILITIES 907.2 833.1
Fair Value | Level 2 | Amortized cost | Non-current borrowings    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 835.8 809.0
Fair Value | Level 2 | Fair value through OCI | Foreign exchange derivatives    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 3.2 0.6
Fair Value | Level 2 | Fair value through OCI | Cross Currency Swaps - used in hedge accounting    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 0.0 1.2
Fair Value | Level 2 | Fair value through OCI | Foreign exchange derivatives - not used in hedge accounting    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 62.2 14.3
Fair Value | Level 2 | Fair value through profit or loss | Foreign exchange derivatives - not used in hedge accounting    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 6.0 8.0
Fair Value | Level 3    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 77.2 60.0
FINANCIAL LIABILITIES 20.0 0.0
Fair Value | Level 3 | Fair value through profit or loss | Contingent consideration related to acquisitions    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL LIABILITIES 20.0  
Promissory notes    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 0.0 4.2
Amortized cost | Other non-current financial assets    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 54.4 43.0
Amortized cost | Promissory notes | Fair Value    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 0.0 4.2
Amortized cost | Promissory notes | Fair Value | Level 3    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 0.0 4.2
Amortized cost | Hold-to-collect accounts receivable    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 750.8 630.7
Amortized cost | Other non-interest yielding receivables    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 134.3 127.5
Amortized cost | Promissory notes    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 4.4 7.0
Amortized cost | Promissory notes | Fair Value    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 4.4 7.0
Amortized cost | Promissory notes | Fair Value | Level 3    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 4.4 7.0
Amortized cost | Cash and cash equivalents    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 652.3 345.4
Fair value through OCI | Other non-current financial assets    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 14.3 12.6
Fair value through OCI | Other non-current financial assets | Fair Value    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 14.3 12.6
Fair value through OCI | Other non-current financial assets | Fair Value | Level 3    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 14.3 12.6
Fair value through OCI | Foreign exchange derivatives    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 0.5 2.2
Fair value through OCI | Foreign exchange derivatives | Fair Value    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 0.5 2.2
Fair value through OCI | Foreign exchange derivatives | Fair Value | Level 2    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 0.5 2.2
Fair value through OCI | Available for sale receivables    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 58.5 36.2
Fair value through OCI | Available for sale receivables | Fair Value    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 58.5 36.2
Fair value through OCI | Available for sale receivables | Fair Value | Level 3    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 58.5 36.2
Fair value through OCI | Foreign exchange derivatives    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 11.5 38.9
Fair value through OCI | Foreign exchange derivatives | Fair Value    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 11.5 38.9
Fair value through OCI | Foreign exchange derivatives | Fair Value | Level 2    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 11.5 38.9
Fair value through profit or loss | Cross currency swaps    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 1.5 0.0
Fair value through profit or loss | Cross currency swaps | Fair Value    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 1.5 0.0
Fair value through profit or loss | Cross currency swaps | Fair Value | Level 2    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 1.5 0.0
Fair value through profit or loss | Foreign exchange derivatives    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 10.8 5.6
Fair value through profit or loss | Foreign exchange derivatives | Fair Value    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS 10.8 5.6
Fair value through profit or loss | Foreign exchange derivatives | Fair Value | Level 2    
Disclosure of detailed information about financial instruments [line items]    
FINANCIAL ASSETS $ 10.8 $ 5.6