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Equity (Tables)
3 Months Ended
Mar. 31, 2022
Equity  
Summary of the status of the Company's restricted stock units and changes during the year

Weighted

Average

Grant Date

Aggregate

Fair Value

Fair Value

RSUs and PSUs

Per RSU

(in millions)

Unvested at January 1, 2022

831,597

$

105.12

Granted(1)

305,249

187.31

Vested

(23,280)

95.87

Cancelled or forfeited

(18,607)

114.28

Unvested at March 31, 2022

1,094,959

$

128.07

$

257.7

Shares reserved for future grants (all plans)

1,569,117

(1)Comprised of 56,452 RSUs granted in January 2022 with a fair value of $152.21 per unit, and 136,346 RSUs and 112,451 PSUs granted in March 2022 with a fair value of $195.28 per unit. The service-based RSUs cliff vest on December 1, 2024 and the performance-based RSUs are subject to a three-year performance period ending December 31, 2024.
Schedule of accumulated other comprehensive loss

Foreign Currency

Postretirement Benefit

Accumulated Other

Translation

Plan Adjustments,

Comprehensive

(Loss) Gain

    

Net of Tax

    

(Loss) Income

(in millions)

Balance as of January 1, 2022

$

(55.2)

$

(13.7)

$

(68.9)

Current-period change

0.7

(0.1)

0.6

Balance as of March 31, 2022

$

(54.5)

$

(13.8)

$

(68.3)