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Restructuring (Tables)
9 Months Ended
Sep. 27, 2025
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Activity
A summary of the changes in the Company's restructuring reserves is shown below (in millions):
Balance at January 1, 2025$100.0 
Provision for employee termination benefits137.0 
Payments, utilizations and foreign currency(160.6)
Balance at September 27, 2025$76.4 
Charges recorded in connection with the Company's restructuring actions are shown below (in millions):
Nine Months Ended
September 27,
2025
September 28,
2024
Employee termination benefits$137.0 $96.6 
Asset impairments:
Property, plant and equipment11.2 1.6 
Right-of-use assets0.1 — 
Contract termination costs4.0 2.8 
Other related costs3.7 6.7 
$156.0 $107.7 
Restructuring charges by income statement line item are shown below (in millions):
Nine Months Ended
September 27,
2025
September 28,
2024
Cost of sales$141.4 $97.1 
Selling, general and administrative expenses17.4 14.4 
Other expense, net(2.8)(3.8)
$156.0 $107.7 
Restructuring charges by operating segment are shown below (in millions):
Three Months EndedNine Months Ended
September 27,
2025
September 28,
2024
September 27,
2025
September 28,
2024
Seating$21.7 $14.1 $98.0 $76.8 
E-Systems15.9 6.2 49.6 24.6 
Other0.6 3.7 8.4 6.3 
$38.2 $24.0 $156.0 $107.7