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RESTRUCTURING, ASSET IMPAIRMENTS, AND OTHER CHARGES (Tables)
12 Months Ended
Dec. 31, 2023
RESTRUCTURING, ASSET IMPAIRMENTS, AND OTHER CHARGES  
Schedule of restructuring, asset impairments, and other charges

Years Ended December 31, 

2023

    

2022

    

2021

Restructuring

    

$

25,134

$

6,814

$

4,752

Asset impairments

1,446

Other charges

 

397

 

 

Total restructuring, asset impairments, and other charges

$

26,977

$

6,814

$

4,752

Schedule of charges related to our restructuring plans

Years Ended December 31, 

2023

    

2022

    

2021

Severance and related charges

    

$

25,134

$

6,469

$

3,467

Facility relocation and closure charges

 

 

345

 

1,285

Total restructuring charges

$

25,134

$

6,814

$

4,752

Cumulative Cost Through

December 31, 2023

    

2023 Plan

    

2022 Plan

    

2018 Plan

    

Total

Severance and related charges

    

$

17,103

$

13,987

$

20,893

$

51,983

Facility relocation and closure charges

7,160

7,160

Total restructuring charges

$

17,103

$

13,987

$

28,053

$

59,143

Schedule of restructuring liabilities

    

2023 Plan

    

2022 Plan

    

2018 Plan

    

Total

December 31, 2020

$

$

$

10,641

$

10,641

Costs incurred and charged to expense

4,752

4,752

Costs paid or otherwise settled

(6,127)

(6,127)

Foreign currency translation

(3)

(3)

December 31, 2021

$

$

$

9,263

$

9,263

Costs incurred and charged to expense

5,788

1,026

6,814

Costs paid or otherwise settled

(8,751)

(8,751)

Foreign currency translation

(116)

(116)

December 31, 2022

$

$

5,788

$

1,422

$

7,210

Costs incurred and charged to expense

17,103

8,199

(168)

25,134

Costs paid or otherwise settled

(2,879)

(11,057)

(1,066)

(15,002)

December 31, 2023

$

14,224

$

2,930

$

188

$

17,342