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Restructuring Charges (Tables)
9 Months Ended
Sep. 28, 2025
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Liabilities
(U.S. Dollars presented in millions)Balance at
June 29, 2025
Provision
Cash Expenditures(a)
Non-cash
Writeoffs
Balance at September 28, 2025
Workforce reduction costs$9.0 $1.5 $(3.4)$— $7.1 
Other— 1.1 (1.2)— (0.1)
$9.0 $2.6 $(4.6)$— $7.0 
(U.S. Dollars presented in millions)Balance at
June 30, 2024

Provision
Cash Expenditures(a)
Non-cash
Writeoffs
Balance at September 29, 2024
Workforce reduction costs$1.4 $5.7 $(2.7)$— $4.4 
Other0.1 2.1 (0.9)(1.2)0.1 
$1.5 $7.8 $(3.6)$(1.2)$4.5 
(U.S. Dollars presented in millions)Balance at December 29, 2024Provision
Cash Expenditures(a)
Non-cash
Writeoffs
Balance at September 28, 2025
Workforce reduction costs$4.8 $10.6 $(8.3)$— $7.1 
Other0.1 3.3 (2.6)(0.9)(0.1)
$4.9 $13.9 $(10.9)$(0.9)$7.0 
(U.S. Dollars presented in millions)Balance at December 31, 2023Provision
Cash Expenditures(a)
Non-cash
Writeoffs
Balance at September 29, 2024
Workforce reduction costs$1.3 $7.7 $(4.6)$— $4.4 
Other0.1 3.3 (2.1)(1.2)0.1 
$1.4 $11.0 $(6.7)$(1.2)$4.5 
(a)    Cash expenditures primarily related to severance charges.