v3.25.2
Condensed Consolidated Statements of Cash Flows - USD ($)
$ in Millions
6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Cash flows from operating activities    
Net loss $ (184.5) $ (143.3)
Adjustments to reconcile net loss to net cash used in operating activities    
Depreciation and amortization 95.8 91.6
Amortization of deferred financing fees and issuance discount (premium) 5.5 7.6
Deferred income tax 1.1 8.9
Share-based compensation expense 7.7 8.4
Earnings of unconsolidated affiliate, net of dividends (1.4) (16.8)
Unrealized net (gain) loss on foreign exchange forward contracts 13.8 (8.6)
Unrealized net loss on commodity economic swap contracts 5.4  
Pension curtailment and settlement gain (0.8)  
Loss on extinguishment of long-term debt 0.2  
Gain on sale of other assets   (7.2)
Changes in assets and liabilities    
Accounts receivable (27.8) (56.8)
Inventories (8.1) (12.3)
Accounts payable and other current liabilities 1.6 33.2
Income taxes payable 0.6 (3.4)
Other assets, net 22.2 9.8
Other liabilities, net (34.7) (19.2)
Cash used in operating activities (103.4) (108.1)
Cash flows from investing activities    
Capital expenditures (18.5) (29.9)
Proceeds from the sale of other assets   8.2
Cash used in investing activities (18.5) (21.7)
Cash flows from financing activities    
Deferred financing fees (19.8) (0.3)
Short-term borrowings, net (2.3) (8.8)
Dividends paid (0.9) (0.9)
Withholding taxes paid on restricted share units (0.2)  
Acquisition-related contingent consideration payment   (0.7)
Repurchases and repayments of long-term debt (9.6) (9.1)
Proceeds from Accounts Receivable Securitization Facility 130.0 200.4
Repayments of Accounts Receivable Securitization Facility (55.0) (200.4)
Proceeds from Revolving Facility 50.0  
Repayments of Revolving Facility (50.0)  
Cash provided by (used in) financing activities 42.2 (19.8)
Effect of exchange rates on cash 7.0 (3.6)
Net change in cash, cash equivalents, and restricted cash (72.7) (153.2)
Cash, cash equivalents, and restricted cash-beginning of period 211.9 261.1
Cash, cash equivalents, and restricted cash-end of period 139.2 107.9
Less: Restricted cash 2.2 2.3
Cash and cash equivalents-end of period 137.0 $ 105.6
2028 Refinance Term Loans    
Cash flows from financing activities    
Net proceeds from issuance of 2028 Refinance Term Loans 115.0  
2025 Senior Notes    
Cash flows from financing activities    
Repayments of 2025 Senior Notes $ (115.0)