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REVENUE (Tables)
12 Months Ended
Dec. 31, 2021
Revenue from Contract with Customer [Abstract]  
Schedule of Revenue from External Customers by Geographic Areas
The following tables disaggregate our revenue recognized by primary geographical market by our reportable business segments and by industry for SCS. Refer to Note 3, “Segment Reporting”, for the disaggregation of our revenue by major product/service lines.

Primary Geographical Markets
Year ended December 31, 2021
FMSSCSDTSEliminationsTotal
(In thousands)
United States$5,115,356 $2,705,569 $1,457,188 $(599,088)$8,679,025 
Canada301,519 229,750  (28,893)502,376 
Europe (1)
262,073    262,073 
Mexico 219,479   219,479 
Total revenues$5,678,948 $3,154,798 $1,457,188 $(627,981)$9,662,953 
 ————————————
(1)Refer to Note 21, "Other Items Impacting Comparability", for further information on the exit of the FMS U.K. business.

Year ended December 31, 2020
FMSSCSDTSEliminationsTotal
(In thousands)
United States$4,646,290 $2,146,936 $1,229,374 $(506,884)$7,515,716 
Canada269,198 207,911 — (17,286)459,823 
Europe254,979 — — — 254,979 
Mexico— 189,573 — — 189,573 
Total revenues$5,170,467 $2,544,420 $1,229,374 $(524,170)$8,420,091 
Year ended December 31, 2019
FMSSCSDTSEliminationsTotal
(In thousands)
United States$4,965,461 $2,110,240 $1,417,483 $(593,170)$7,900,014 
Canada302,956 215,380 — (21,186)497,150 
Europe302,986 — — — 302,986 
Mexico— 222,358 — — 222,358 
Singapore— 3,293 — — 3,293 
Total revenues$5,571,403 $2,551,271 $1,417,483 $(614,356)$8,925,801 
Schedule of Disaggregation of Revenue Our SCS business segment includes revenue from the following industries:
Years ended December 31,
202120202019
(In thousands)
Automotive$1,185,372 $940,314 $1,003,508 
Technology and healthcare427,510 386,610 432,107 
Consumer packaged goods and retail1,220,534 993,403 901,344 
Industrial and other321,382 224,093 214,312 
Total revenues$3,154,798 $2,544,420 $2,551,271 
Schedule of Changes in Contract Liability The following table includes the changes in deferred revenue due to the collection and deferral of cash or the satisfaction of our performance obligation under the contract:
Years ended December 31,
202120202019
(In thousands)
Balance as of beginning of period$629,739 $603,687 $582,078 
Recognized as revenue during period from beginning balance(183,460)(179,623)(180,939)
Consideration deferred during period, net145,498 203,308 203,136 
Foreign currency translation adjustment and other1,665 2,367 (588)
Balance as of end of period$593,442 $629,739 $603,687