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RESTRUCTURING, ASSET IMPAIRMENTS, AND OTHER CHARGES - Changes in Restructuring Liabilities (Details) - USD ($)
$ in Thousands
5 Months Ended 12 Months Ended 24 Months Ended 27 Months Ended
Dec. 31, 2024
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2024
Dec. 31, 2024
Restructuring Reserve [Roll Forward]            
Beginning balance   $ 17,342 $ 7,210   $ 7,210  
Cost incurred and charged to expense   28,074 25,134 $ 6,814   $ 59,164
Cost paid   (15,856) (15,002)      
Foreign currency translation   457        
Ending balance $ 30,017 30,017 17,342 7,210 30,017 30,017
2024 Plan            
Restructuring Reserve [Roll Forward]            
Cost incurred and charged to expense 29,649 29,649        
Cost paid   (5,057)        
Foreign currency translation   457        
Ending balance 25,049 25,049     25,049 25,049
2023 Plan            
Restructuring Reserve [Roll Forward]            
Beginning balance   14,224        
Cost incurred and charged to expense   (1,663) 17,103   15,440  
Cost paid   (7,593) (2,879)      
Ending balance $ 4,968 4,968 14,224   4,968 4,968
2022 Plan            
Restructuring Reserve [Roll Forward]            
Beginning balance   2,930 5,788   5,788  
Cost incurred and charged to expense   88 8,199     $ 14,075
Cost paid   (3,018) (11,057)      
Ending balance     2,930 5,788    
2018 Plan            
Restructuring Reserve [Roll Forward]            
Beginning balance   188 1,422   $ 1,422  
Cost incurred and charged to expense     (168)      
Cost paid   $ (188) (1,066)      
Ending balance     $ 188 $ 1,422