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Pension Plans and Other Benefits - Plan Asset FV Measurements - USD ($)
$ in Millions
Dec. 31, 2022
Dec. 31, 2021
Defined Benefit Plan Disclosure    
Fair value of asset $ 345.6 $ 807.0
Fair Value Inputs Level 1    
Defined Benefit Plan Disclosure    
Fair value of asset 20.5 5.2
Fair Value Inputs Level 2    
Defined Benefit Plan Disclosure    
Fair value of asset 302.8 791.3
Fair Value Inputs Level 3    
Defined Benefit Plan Disclosure    
Fair value of asset $ 22.3 $ 10.5
Debt Security, Corporate, US    
Defined Benefit Plan Disclosure    
Defined Benefit Plan, Plan Assets, Actual Allocation, Percentage 32.00% 44.00%
US and Canada Government Debt Securities    
Defined Benefit Plan Disclosure    
Defined Benefit Plan, Plan Assets, Actual Allocation, Percentage 66.00% 49.00%
Cash And Cash Equivalents    
Defined Benefit Plan Disclosure    
Fair value of asset   $ 5.2
Cash And Cash Equivalents | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset $ 3.9  
Cash And Cash Equivalents | United States    
Defined Benefit Plan Disclosure    
Fair value of asset 16.6  
Cash And Cash Equivalents | Fair Value Inputs Level 1    
Defined Benefit Plan Disclosure    
Fair value of asset   5.2
Cash And Cash Equivalents | Fair Value Inputs Level 1 | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset 3.9  
Cash And Cash Equivalents | Fair Value Inputs Level 1 | United States    
Defined Benefit Plan Disclosure    
Fair value of asset 16.6  
Cash And Cash Equivalents | Fair Value Inputs Level 2    
Defined Benefit Plan Disclosure    
Fair value of asset 0.0 0.0
Cash And Cash Equivalents | Fair Value Inputs Level 2 | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset 0.0  
Cash And Cash Equivalents | Fair Value Inputs Level 3    
Defined Benefit Plan Disclosure    
Fair value of asset 0.0 0.0
Cash And Cash Equivalents | Fair Value Inputs Level 3 | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset 0.0  
Equity Securities    
Defined Benefit Plan Disclosure    
Fair value of asset [1]   71.3
Equity Securities | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset [1] 33.8  
Equity Securities | Fair Value Inputs Level 1    
Defined Benefit Plan Disclosure    
Fair value of asset [1]   0.0
Equity Securities | Fair Value Inputs Level 1 | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset [1] 0.0  
Equity Securities | Fair Value Inputs Level 2    
Defined Benefit Plan Disclosure    
Fair value of asset [1]   71.3
Equity Securities | Fair Value Inputs Level 2 | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset [1] 33.8  
Equity Securities | Fair Value Inputs Level 3    
Defined Benefit Plan Disclosure    
Fair value of asset [1]   0.0
Equity Securities | Fair Value Inputs Level 3 | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset [1] 0.0  
Fixed Income Securities    
Defined Benefit Plan Disclosure    
Fair value of asset [2]   720.0
Fixed Income Securities | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset [2] 269.0  
Fixed Income Securities | Fair Value Inputs Level 1    
Defined Benefit Plan Disclosure    
Fair value of asset [2]   0.0
Fixed Income Securities | Fair Value Inputs Level 1 | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset [2] 0.0  
Fixed Income Securities | Fair Value Inputs Level 2    
Defined Benefit Plan Disclosure    
Fair value of asset [2]   720.0
Fixed Income Securities | Fair Value Inputs Level 2 | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset [2] 269.0  
Fixed Income Securities | Fair Value Inputs Level 3    
Defined Benefit Plan Disclosure    
Fair value of asset [2]   0.0
Fixed Income Securities | Fair Value Inputs Level 3 | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset [2] 0.0  
Private Equity Funds    
Defined Benefit Plan Disclosure    
Fair value of asset   10.5
Private Equity Funds | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset 22.3  
Private Equity Funds | Fair Value Inputs Level 1    
Defined Benefit Plan Disclosure    
Fair value of asset   0.0
Private Equity Funds | Fair Value Inputs Level 1 | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset 0.0  
Private Equity Funds | Fair Value Inputs Level 2    
Defined Benefit Plan Disclosure    
Fair value of asset   0.0
Private Equity Funds | Fair Value Inputs Level 2 | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset 0.0  
Private Equity Funds | Fair Value Inputs Level 3    
Defined Benefit Plan Disclosure    
Fair value of asset   $ 10.5
Private Equity Funds | Fair Value Inputs Level 3 | Foreign Pension Plans Defined Benefit    
Defined Benefit Plan Disclosure    
Fair value of asset $ 22.3  
U.S. Government Bonds    
Defined Benefit Plan Disclosure    
Defined Benefit Plan, Plan Assets, Actual Allocation, Percentage 63.00% 44.00%
Debt Security, Corporate, Non-US    
Defined Benefit Plan Disclosure    
Defined Benefit Plan, Plan Assets, Actual Allocation, Percentage 2.00% 7.00%
[1] This class, which includes several funds, was invested approximately 63% in U.S. equity securities and 36% in international equity securities as of December 31, 2022, and 44% in U.S. equity securities and 56% in international equity securities as of December 31, 2021.
[2] This class, which includes several funds, was invested approximately 32% in corporate debt securities, 66% in governmental securities in the U.S. and Canada and 2% in other foreign entity debt securities as of December 31, 2022, and 44% in corporate debt securities, 49% in governmental securities in the U.S. and Canada and 7% in other foreign entity debt securities as of December 31, 2021.