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Derivatives and Hedging Activities (Tables)
12 Months Ended
Dec. 31, 2025
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Fair Value of Derivative Instruments
The following table details the fair value of our derivative instruments included on our Consolidated Balance Sheets: 
Cash Flow HedgeNet Investment HedgeNon-Designated as Hedging InstrumentsTotal
 December 31,December 31,December 31,December 31,
(In millions)20252024202520242025202420252024
Derivative Assets        
Foreign currency forward contracts$0.7 $4.8 $— $— $7.2 $1.2 $7.9 $6.0 
Cross-currency swaps— — — 3.2 — — — 3.2 
Total Derivative Assets$0.7 $4.8 $ $3.2 $7.2 $1.2 $7.9 $9.2 
Derivative Liabilities        
Foreign currency forward contracts
$(0.5)$(0.4)$— $— $(1.2)$(6.2)$(1.7)$(6.6)
Cross-currency swaps— — (46.4)— — — (46.4)— 
Total Derivative Liabilities$(0.5)$(0.4)$(46.4)$ $(1.2)$(6.2)$(48.1)$(6.6)
Net Derivatives(1)
$0.2 $4.4 $(46.4)$3.2 $6.0 $(5.0)$(40.2)$2.6 
 
(1)The following table reconciles gross positions without the impact of master netting agreements to the balance sheet classification:
 Other Current AssetsOther Current LiabilitiesOther Non-current AssetsOther Non-current Liabilities
 December 31,December 31,December 31,December 31,
(In millions)20252024202520242025202420252024
Gross position$7.9 $6.0 $(1.7)$(6.6)$— $3.2 $(46.4)$— 
Impact of master netting agreements
(0.8)(0.4)0.8 0.4 — — — — 
Net amounts recognized on the Consolidated Balance Sheets$7.1 $5.6 $(0.9)$(6.2)$ $3.2 $(46.4)$ 
Schedule of Offsetting Assets The following table reconciles gross positions without the impact of master netting agreements to the balance sheet classification:
 Other Current AssetsOther Current LiabilitiesOther Non-current AssetsOther Non-current Liabilities
 December 31,December 31,December 31,December 31,
(In millions)20252024202520242025202420252024
Gross position$7.9 $6.0 $(1.7)$(6.6)$— $3.2 $(46.4)$— 
Impact of master netting agreements
(0.8)(0.4)0.8 0.4 — — — — 
Net amounts recognized on the Consolidated Balance Sheets$7.1 $5.6 $(0.9)$(6.2)$ $3.2 $(46.4)$ 
Schedule of Offsetting Liabilities The following table reconciles gross positions without the impact of master netting agreements to the balance sheet classification:
 Other Current AssetsOther Current LiabilitiesOther Non-current AssetsOther Non-current Liabilities
 December 31,December 31,December 31,December 31,
(In millions)20252024202520242025202420252024
Gross position$7.9 $6.0 $(1.7)$(6.6)$— $3.2 $(46.4)$— 
Impact of master netting agreements
(0.8)(0.4)0.8 0.4 — — — — 
Net amounts recognized on the Consolidated Balance Sheets$7.1 $5.6 $(0.9)$(6.2)$ $3.2 $(46.4)$ 
Schedule of Effect of Derivative Instruments on Condensed Consolidated Statements of Operations
The following table details the effect of our derivative instruments on our Consolidated Statements of Operations: 
Location of Gain (Loss) Recognized onAmount of Gain (Loss) Recognized in
Earnings on Derivatives
 Consolidated Statements of OperationsYear Ended December 31,
(In millions)202520242023
Derivatives designated as hedging instruments:   
Cash Flow Hedges:   
Foreign currency forward contractsCost of sales$0.7 $0.3 $4.2 
Treasury locksInterest expense, net0.2 0.1 0.1 
Sub-total cash flow hedges0.9 0.4 4.3 
Derivatives not designated as hedging instruments:   
Foreign currency forward contractsOther expense, net41.8 (27.7)12.0 
Total$42.7 $(27.3)$16.3