v3.25.4
Supplemental disclosures of cash flow information (Tables)
12 Months Ended
Dec. 31, 2025
Supplemental Cash Flow Elements [Abstract]  
Schedule of supplemental disclosures of cash flow information
The following tables present supplemental disclosures of cash balances:
(in millions)
December 31,
20252024
Cash and cash equivalents$365.4 $261.9 
Restricted cash classified as other assets2.9 2.8 
Total$368.3 $264.7 
(in millions)
Year ended December 31,
202520242023
Cash flows from operating activities:
Cash paid for income taxes, net1
      Federal$56.4 $159.1 $110.6 
      State22.8 34.2 27.8 
      Foreign65.8 54.5 86.0 
      Total145.0 247.8 224.4 
Cash paid for interest, net, excluding financing leases161.3 211.0 267.0 
Cash paid for interest on finance leases1.6 4.2 5.1 
Cash paid under operating leases43.2 44.0 43.8 
Cash flows from financing activities:
Cash paid under finance leases6.3 5.7 5.1 
Non-cash financing activities:
Excise tax from stock repurchases0.6 — — 
━━━━━━━━━
1.Income taxes paid (net of refunds) exceeded 5 percent of total income taxes paid (net of refunds) in the following jurisdictions: $8.9 million in Luxembourg and $7.7 million in Belgium for the year ended December 31, 2025 and $24.9 million in Switzerland for the year ended December 31, 2023.