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IMPAIRMENT, RESTRUCTURING AND OTHER (Tables)
12 Months Ended
Sep. 30, 2025
Restructuring and Related Activities [Abstract]  
Schedule of Impairment, Restructuring, and Other Charges The following table details impairment, restructuring and other charges (recoveries) for each of the periods presented:
Year Ended September 30,
202520242023
Cost of sales—impairment, restructuring and other:
Restructuring and other charges, net$11.9 $72.9 $148.5 
Right-of-use asset impairments4.5 5.3 25.8 
Property, plant and equipment impairments3.9 5.3 11.4 
Operating expenses—impairment, restructuring and other:
Restructuring and other charges (recoveries), net35.2 (4.3)51.2 
Loss on sale of business17.7 — — 
Loss on exchange of convertible debt investment7.0 — — 
Goodwill and intangible asset impairments3.6 2.5 127.9 
Convertible debt other-than-temporary impairments— 64.6 101.3 
Total impairment, restructuring and other charges$83.8 $146.3 $466.1 
Schedule of Reserve
The following table summarizes the activity related to liabilities associated with restructuring activities for each of the periods presented:
Year Ended September 30,
 202520242023
Amounts accrued at beginning of year$18.9 $40.5 $31.5 
Restructuring charges36.2 11.8 55.6 
Payments(36.0)(33.4)(46.6)
Amounts accrued at end of year $19.1 $18.9 $40.5