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CONDENSED CONSOLIDATED STATEMENTS OF EQUITY - USD ($)
$ in Millions
Total
Common Stock
Additional Paid-in Capital
Retained Earnings
Accumulated Other Comprehensive Loss
Treasury Stock
Noncontrolling Interests
Beginning balance at Dec. 30, 2023 $ 5,093.4 $ 67.5 $ 545.5 $ 6,948.5 $ (449.5) $ (2,040.7) $ 22.1
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net earnings 547.2     534.7     12.5
Other comprehensive income (loss) (55.3)       (55.3)    
Cash dividends (196.2)     (196.2)      
Stock compensation plans 50.4   (2.7)     53.1  
Share repurchases (117.6)         (117.6)  
Other (13.0)     (1.0)     (12.0)
Ending balance at Jun. 29, 2024 5,308.9 67.5 542.8 7,286.0 (504.8) (2,105.2) 22.6
Beginning balance at Mar. 30, 2024 5,163.3 67.5 527.4 7,113.1 (493.3) (2,073.7) 22.3
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net earnings 277.6     271.2     6.4
Other comprehensive income (loss) (11.5)       (11.5)    
Cash dividends (98.0)     (98.0)      
Stock compensation plans 31.3   15.4     15.9  
Share repurchases (47.4)         (47.4)  
Other (6.4)     (0.3)     (6.1)
Ending balance at Jun. 29, 2024 5,308.9 67.5 542.8 7,286.0 (504.8) (2,105.2) 22.6
Beginning balance at Dec. 28, 2024 5,417.0 67.5 557.7 7,584.3 (575.0) (2,240.4) 22.9
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net earnings 503.5     490.8     12.7
Other comprehensive income (loss) 172.5       172.5    
Cash dividends (224.0)     (224.0)      
Stock compensation plans 48.9   5.6     43.3  
Share repurchases (166.2)         (166.2)  
Other (12.2)     (0.6)     (11.6)
Ending balance at Jun. 28, 2025 5,739.5 67.5 563.3 7,850.5 (402.5) (2,363.3) 24.0
Beginning balance at Mar. 29, 2025 5,544.1 67.5 543.5 7,712.4 (499.5) (2,303.1) 23.3
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net earnings 256.8     250.3     6.5
Other comprehensive income (loss) 97.0       97.0    
Cash dividends (111.8)     (111.8)      
Stock compensation plans 38.6   19.8     18.8  
Share repurchases (79.0)         (79.0)  
Other (6.2)     (0.4)     (5.8)
Ending balance at Jun. 28, 2025 $ 5,739.5 $ 67.5 $ 563.3 $ 7,850.5 $ (402.5) $ (2,363.3) $ 24.0