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Restructuring-Related Expenses - Schedule of Restructuring Accruals (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Summary of activity for expenses related to the restructuring accruals    
Beginning balance $ 26.2 $ 73.3
Expenses 152.3 36.8 [1]
Cash payments   (82.7)
Non-cash benefits/(charges) [1]   (1.2)
Ending balance   26.2
Severance and Related Employee Benefits    
Summary of activity for expenses related to the restructuring accruals    
Beginning balance 24.9 71.2
Expenses 109.8 11.8 [1]
Cash payments   (58.7)
Non-cash benefits/(charges) [1]   0.6
Ending balance   24.9
Facility Relocations and Closures, Consulting, and Other    
Summary of activity for expenses related to the restructuring accruals    
Beginning balance 1.3 2.1
Expenses $ 42.5 25.0 [1]
Cash payments   (24.0)
Non-cash benefits/(charges) [1]   (1.8)
Ending balance   $ 1.3
[1] Non-cash benefits/(charges) include non-cash write-offs and accelerated depreciation of right-of-use ("ROU") assets and leasehold improvements and a non-cash benefit for adjustments to stock compensation for awards forfeited by employees. These amounts have been removed from the liability balance in the table above as they do not impact the restructuring accruals.