v3.25.2
Condensed Consolidated Statements Of Equity Condensed Consolidatd Statements of Equity - USD ($)
shares in Millions, $ in Millions
Total
Common Stock
Treasury Stock, Common
Additional Paid-in Capital
Retained Earnings
Foreign currency translation adjustments
Defined benefit pension adjustments
Interest rate swap - cash flow hedge
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Common stock, shares issued   150.6            
Common stock, shares outstanding   150.4            
Treasury stock, shares outstanding     (0.2)          
Shares issued under stock plans (in shares)   0.4            
Common Stock, Dividends, Per Share, Cash Paid $ 0.10              
Beginning Balance at Dec. 31, 2023 $ 3,408.6 $ 1.5 $ (7.1) $ 2,305.4 $ 1,151.7 $ (61.8) $ 0.3 $ 18.6
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Shares issued under stock plans (5.5) 0.0   (5.5)        
Share-based compensation expense 7.9     7.9        
Dividends declared ($0.10 per share) (15.0)       (15.0)      
Interest rate swap - cash flow hedge (1.0)             (1.0)
Defined benefit pension adjustments (0.4)           (0.4)  
Foreign currency translation (9.7)         (9.7)    
Net income 45.3       45.3      
Ending Balance at Mar. 30, 2024 3,430.2 1.5 (7.1) 2,307.8 1,182.0 (71.5) (0.1) 17.6
Beginning Balance at Dec. 31, 2023 3,408.6 1.5 (7.1) 2,305.4 1,151.7 (61.8) 0.3 18.6
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Interest rate swap - cash flow hedge (3.7)              
Defined benefit pension adjustments (0.4)              
Foreign currency translation (14.8)              
Net income 113.0              
Ending Balance at Jun. 29, 2024 $ 3,502.4 $ 1.5 $ (7.1) 2,335.3 1,234.5 (76.6) (0.1) 14.9
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Common stock, shares issued   151.0            
Common stock, shares outstanding   150.8            
Treasury stock, shares outstanding     (0.2)          
Shares issued under stock plans (in shares)   0.1            
Common Stock, Dividends, Per Share, Cash Paid $ 0.10              
Beginning Balance at Mar. 30, 2024 $ 3,430.2 $ 1.5 $ (7.1) 2,307.8 1,182.0 (71.5) (0.1) 17.6
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Shares issued under stock plans 0.6 0.0   0.6        
Share-based compensation expense 26.9     26.9        
Dividends declared ($0.10 per share) (15.2)       (15.2)     0.0
Interest rate swap - cash flow hedge (2.7)             (2.7)
Defined benefit pension adjustments 0.0              
Foreign currency translation (5.1)         (5.1)    
Net income 67.7       67.7      
Ending Balance at Jun. 29, 2024 $ 3,502.4 $ 1.5 $ (7.1) 2,335.3 1,234.5 (76.6) (0.1) 14.9
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Common stock, shares issued   151.1            
Common stock, shares outstanding   150.9            
Treasury stock, shares outstanding     (0.2)          
Common stock, shares issued 151.3 151.3            
Common stock, shares outstanding   151.1            
Treasury stock, shares outstanding 0.2   (0.2)          
Shares issued under stock plans (in shares)   0.2            
Common Stock, Dividends, Per Share, Cash Paid $ 0.10              
Beginning Balance at Dec. 31, 2024 $ 3,691.5 $ 1.5 $ (7.1) 2,385.3 1,383.9 (77.6) 0.0 5.5
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Shares issued under stock plans (6.6) 0.0   (6.6)        
Share-based compensation expense 13.4     13.4        
Dividends declared ($0.10 per share) (15.2)       (15.2)      
Interest rate swap - cash flow hedge (1.9)             (1.9)
Defined benefit pension adjustments (0.1)           (0.1)  
Foreign currency translation 5.4         5.4 0.0  
Net income 62.9       62.9   0.0  
Ending Balance at Mar. 29, 2025 3,749.4 1.5 (7.1) 2,392.1 1,431.6 (72.2) (0.1) 3.6
Beginning Balance at Dec. 31, 2024 3,691.5 1.5 (7.1) 2,385.3 1,383.9 (77.6) 0.0 5.5
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Interest rate swap - cash flow hedge (3.5)              
Defined benefit pension adjustments (0.1)              
Foreign currency translation 12.6              
Net income 115.7              
Ending Balance at Jun. 28, 2025 $ 3,809.1 $ 1.5 $ (7.1) 2,408.7 1,469.1 (65.0) (0.1) 2.0
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Common stock, shares issued   151.5            
Common stock, shares outstanding   151.3            
Treasury stock, shares outstanding     (0.2)          
Shares issued under stock plans (in shares)   0.1            
Common Stock, Dividends, Per Share, Cash Paid $ 0.10              
Beginning Balance at Mar. 29, 2025 $ 3,749.4 $ 1.5 $ (7.1) 2,392.1 1,431.6 (72.2) (0.1) 3.6
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Shares issued under stock plans (2.0)     (2.0)        
Share-based compensation expense 18.6     18.6        
Dividends declared ($0.10 per share) (15.3)       (15.3)      
Interest rate swap - cash flow hedge (1.6)             (1.6)
Defined benefit pension adjustments 0.0              
Foreign currency translation 7.2         7.2 0.0  
Net income 52.8       52.8      
Ending Balance at Jun. 28, 2025 $ 3,809.1 $ 1.5 $ (7.1) $ 2,408.7 $ 1,469.1 $ (65.0) $ (0.1) $ 2.0
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Common stock, shares issued   151.6            
Common stock, shares outstanding   151.4            
Treasury stock, shares outstanding 0.2   (0.2)