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Supplemental Balance Sheet Information - Schedule of Supplemental Balance Sheet Information (Details) - USD ($)
$ in Millions
Jun. 30, 2020
Dec. 31, 2019
Cash and Cash Equivalents    
Cash and money market funds $ 710.6 $ 28.2
Commercial paper   236.1
Total 710.6 264.3
Trade Receivables, Net    
Allowance for doubtful receivables (1.1) (1.4)
Trade receivables, net 126.4 167.1
Inventories    
Finished products 40.8 42.6
Work-in-process 62.7 63.5
Raw materials 71.3 65.0
Operating supplies 6.6 6.5
Total 181.4 177.6
Property, Plant and Equipment, Net    
Land and improvements 21.6 21.4
Buildings and leasehold improvements 110.2 104.5
Machinery and equipment 826.9 813.5
Construction in progress 42.0 33.2
Property, plant and equipment, gross 1,000.7 972.6
Accumulated depreciation (375.1) (352.2)
Assets held for sale 1.5 1.6
Property, plant and equipment, net 627.1 622.0
Other Accrued Liabilities    
Uncleared cash disbursements 3.3 4.2
Accrued income taxes and taxes payable 8.4 6.2
Accrued annual contribution to Salaried VEBA   2.9
Accrued interest 11.8 2.3
Short-term environmental accrual 6.6 5.5
Other 24.4 22.9
Total 54.5 44.0
Long-Term Liabilities    
Workers' compensation accrual 29.6 27.7
Long-term environmental accrual 11.6 11.5
Other long-term liabilities 34.1 27.8
Total 75.3 67.0
Billed    
Trade Receivables, Net    
Billed trade receivables $ 127.5 $ 168.5