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COMMITMENTS AND GUARANTEES (Tables)
12 Months Ended
Dec. 28, 2024
Commitments and Guarantees [Abstract]  
Schedule of Right-of-Use Assets and Lease Liabilities The following is a summary of the Company's right-of-use-assets and lease liabilities:
(Millions of Dollars)December 28, 2024December 30, 2023
Right-of-use assets$473.4 $502.9 
Lease liabilities$491.8 $506.6 
Weighted-average incremental borrowing rate
4.7 %4.6 %
Weighted-average remaining term
6 years7 years
Schedule of Total Lease Cost
The following is a summary of the Company's total lease cost for the years ended December 28, 2024, December 30, 2023, and December 31, 2022:
(Millions of Dollars)202420232022
Operating lease cost
$139.6 $144.0 $147.1 
Short-term lease cost33.0 31.2 27.6 
Variable lease cost
8.3 11.2 5.9 
Sublease income
(2.5)(3.2)(2.5)
Total lease cost
$178.4 $183.2 $178.1 
Schedule of Future Lease Obligations on Undiscounted Basis
The following is a summary of the Company's future lease obligations on an undiscounted basis at December 28, 2024:
(Millions of Dollars)Total20252026202720282029Thereafter
Lease obligations$564.5 $129.7 $110.0 $86.1 $68.0 $53.6 $117.1 
Schedule of Future Marketing Commitments
The following is a summary of the Company’s future marketing commitments at December 28, 2024:

(Millions of Dollars)Total20252026202720282029Thereafter
Marketing commitments$62.2 $34.8 $21.8 $5.6 $— $— $— 
Schedule of Unconditional Purchase Obligations Related to Supplier Agreement The following is a summary of the Company's unconditional purchase obligations related to these agreements at December 28, 2024:
(Millions of Dollars)Total20252026202720282029Thereafter
Supplier agreements$160.5 $100.8 $29.1 $30.6 $— $— $— 
Schedule of Outstanding Obligations Under SCF Programs
The following is a rollforward of the Company's outstanding obligations under its SCF programs for the year ended December 28, 2024:
(Millions of Dollars)2024
Balance, beginning of year$528.1 
Additions2,111.5 
Reductions for payments(2,153.3)
Foreign currency translation and other(2.7)
Balance, end of year$483.6 
Schedule of Financial Guarantees The Company's financial guarantees at December 28, 2024 are as follows:
(Millions of Dollars)TermMaximum
Potential
Payment
Carrying
Amount of
Liability
Guarantees on the residual values of leased properties
Three years to nine years
$78.2 $ 
Standby letters of credit
Up to twenty years
179.3  
Commercial customer financing arrangements
Up to ten years
104.3 16.4 
Total$361.8 $16.4 
Schedule of Changes in Carrying Amount of Product Warranties
The changes in the carrying amount of product warranties for the years ended December 28, 2024, December 30, 2023, and December 31, 2022 are as follows:
(Millions of Dollars)202420232022
Balance beginning of period$136.7 $126.6 $134.5 
Warranties and guarantees issued180.3 171.3 155.3 
Warranty payments and currency(176.9)(161.2)(163.2)
Balance end of period$140.1 $136.7 $126.6