RESTRUCTURING CHARGES AND OTHER, NET - Schedule of Restructuring Reserve Activity (Details) - USD ($) $ in Millions |
3 Months Ended | |
---|---|---|
Mar. 29, 2025 |
Mar. 30, 2024 |
|
Restructuring Reserve [Roll Forward] | ||
Reserve, beginning balance | $ 45.4 | |
Net Additions | 1.2 | $ 15.0 |
Usage | (11.3) | |
Currency | (0.4) | |
Reserve, ending balance | 34.9 | |
Severance and related costs | ||
Restructuring Reserve [Roll Forward] | ||
Reserve, beginning balance | 25.3 | |
Net Additions | 6.7 | |
Usage | (6.2) | |
Currency | (0.4) | |
Reserve, ending balance | 25.4 | |
Facility closures and other | ||
Restructuring Reserve [Roll Forward] | ||
Reserve, beginning balance | 20.1 | |
Net Additions | (5.5) | |
Usage | (5.1) | |
Currency | 0.0 | |
Reserve, ending balance | $ 9.5 |