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ACCUMULATED OTHER COMPREHENSIVE LOSS
12 Months Ended
Dec. 31, 2022
Accumulated Other Comprehensive Income (Loss) [Abstract]  
ACCUMULATED OTHER COMPREHENSIVE LOSS ACCUMULATED OTHER COMPREHENSIVE LOSSThe following table summarizes the changes in the accumulated balances for each component of Accumulated other
comprehensive loss:
(Millions of Dollars)Currency translation adjustment and other (Losses) gains on cash flow hedges, net of taxGains (losses) on net investment hedges, net of taxPension (losses) gains, net of taxTotal
Balance - January 2, 2021$(1,235.3)$(103.0)$72.8 $(448.2)$(1,713.7)
Other comprehensive (loss) income before reclassifications(307.7)36.2 2.9 107.0 (161.6)
Reclassification adjustments to earnings— 17.0 (3.9)16.6 29.7 
Net other comprehensive (loss) income(307.7)53.2 (1.0)123.6 (131.9)
Balance - January 1, 2022$(1,543.0)$(49.8)$71.8 $(324.6)$(1,845.6)
Other comprehensive (loss) income before reclassifications(328.3)31.7 3.7 73.4 (219.5)
Adjustments related to sales of businesses(36.1)— — — (36.1)
Reclassification adjustments to earnings— (26.4)(1.7)9.8 (18.3)
Net other comprehensive (loss) income (364.4)5.3 2.0 83.2 (273.9)
Balance - December 31, 2022$(1,907.4)$(44.5)$73.8 $(241.4)$(2,119.5)

The Company uses the portfolio method for releasing the stranded tax effects from Accumulated other comprehensive loss. The reclassifications out of Accumulated other comprehensive loss for the years ended December 31, 2022 and January 1, 2022 were as follows:
(Millions of Dollars)20222021
Components of Accumulated other comprehensive lossReclassification adjustmentsReclassification adjustmentsAffected line item in Consolidated Statements of Operations
Realized gains (losses) on cash flow hedges$53.3 $(26.1)Cost of sales
Realized losses on cash flow hedges(5.8)(3.9)Interest expense
Total before taxes$47.5 $(30.0)
Tax effect(21.1)13.0 Income taxes
Realized gains (losses) on cash flow hedges, net of tax$26.4 $(17.0)
Realized gains on net investment hedges$2.2 $5.2 Other, net
Tax effect(0.5)(1.3)Income taxes
Realized gains on net investment hedges, net of tax$1.7 $3.9 
Actuarial losses and prior service costs / credits(13.3)(21.0)Other, net
Settlement losses
 (1.1)Other, net
Total before taxes(13.3)(22.1)
Tax effect3.5 5.5 Income taxes
Amortization of defined benefit pension items, net of tax$(9.8)$(16.6)