XML 23 R11.htm IDEA: XBRL DOCUMENT v3.24.2.u1
Restructuring and Related Activities
6 Months Ended
Jun. 30, 2024
Restructuring and Related Activities [Abstract]  
Restructuring and Impairments Restructuring and Related Activities    
In the first quarter of 2024, we committed to a restructuring plan, primarily associated with our Bedding Products segment and, to a lesser extent, our Furniture, Flooring & Textile Products segment (the “Restructuring Plan” or “Plan”), which is expected to be substantially complete by the end of 2025. The Plan was expanded in the second quarter of 2024 to include a small restructuring opportunity within the Specialized Products segment.
Over the course of the restructuring timeline, we plan to consolidate between 15 and 20 production and distribution facilities (out of 50) in the Bedding Products segment and a small number of production facilities in the Furniture, Flooring & Textile Products segment. Our total costs for this Plan are expected to be between $65.0 and $85.0, of which $40.0 to $50.0 are anticipated to be incurred in 2024 and the remainder in 2025. As of June 30, 2024, we have incurred costs of $22.0.
The following table presents information associated with this Plan:
Total Amount Expected to be IncurredSix Months Ended 
 June 30, 2024
Three Months Ended 
 June 30, 2024
Net restructuring and restructuring-related
$40.0 to $55.0
$19.4 $10.9 
Impairment costs associated with this plan (See Note F)
25.0 to 30.0
2.6 .3 
$65.0 to $85.0
$22.0 $11.2 
Amount of total that represents net cash charges
$30.0 to $40.0
$15.6 $9.4 
The table below presents all restructuring and restructuring-related activity related to the Plan. We had no material restructuring activity in 2023.
 Six Months Ended 
 June 30, 2024
Three Months Ended 
 June 30, 2024
Restructuring costs charged to other (income) expense, net: 
Termination benefits, relocation, and other restructuring costs $11.7 $6.0 
Restructuring-related costs (gains):
Presented in cost of goods sold:
Inventory obsolescence and other 3.8 1.5 
Presented in selling and administrative expenses:
Professional services and other5.4 4.9 
Presented in net gain on disposal of assets:
Gain on sale of equipment(1.5)(1.5)
Total restructuring-related costs7.7 4.9 
Total net restructuring and restructuring-related costs$19.4 $10.9 
Amount of total that represents net cash charges$15.6 $9.4 
Net restructuring and restructuring-related charges by segment were as follows:
 Six Months Ended 
 June 30, 2024
Three Months Ended 
 June 30, 2024
Bedding Products$16.6 $9.6 
Specialized Products1.3 1.3 
Furniture, Flooring & Textile Products1.5 — 
Total net restructuring and restructuring-related costs$19.4 $10.9 
Restructuring Liability
The accrued liability associated with the Plan consisted of the following:
Balance at December 31, 2023Add: 2024 ChargesLess: 2024 PaymentsBalance at June 30, 2024
Termination benefits$ $5.6 $2.6 $3.0 
Relocation and other restructuring costs 6.1 5.1 1.0 
Total$ $11.7 $7.7 $4.0