v3.26.1
BALANCE SHEETS INFORMATION
3 Months Ended
Mar. 31, 2026
BALANCE SHEETS INFORMATION  
BALANCE SHEETS INFORMATION

4. BALANCE SHEETS INFORMATION

March 31

December 31

(millions)

  ​ ​ ​

2026

2025

Accounts receivable, net

Accounts receivable

$3,404.0

$3,366.2

Allowance for expected credit losses and other accruals

(123.8)

(116.8)

Total

$3,280.2

$3,249.4

Inventories

Finished goods

$1,019.3

$962.1

Raw materials and parts

642.1

620.3

Inventories at FIFO cost

1,661.4

1,582.4

FIFO cost to LIFO cost difference

(89.4)

(92.0)

Total

$1,572.0

$1,490.4

Other current assets

Prepaid assets

$211.5

$159.5

Taxes receivable

229.5

229.8

Derivative assets

-

2.6

Contract assets

126.1

117.4

Other

103.6

60.3

Total

$670.7

$569.6

Property, plant and equipment, net

Land

$148.7

$149.2

Buildings and leasehold improvements

1,276.1

1,242.6

Machinery and equipment

2,579.6

2,496.4

Dispensing and monitoring equipment

3,300.8

3,193.1

Capitalized software

1,221.6

1,176.8

Construction in progress

880.4

858.1

9,407.2

9,116.2

Accumulated depreciation

(5,010.0)

(4,839.6)

Total

$4,397.2

$4,276.6

Other intangible assets, net

Intangible assets not subject to amortization

Trade names

$1,230.0

$1,230.0

Intangible assets subject to amortization

Customer relationships

3,751.4

3,827.3

Patents

517.5

516.1

Trademarks

423.3

420.6

Other technologies

697.0

680.2

5,389.2

5,444.2

Accumulated amortization

Customer relationships

($2,156.9)

($2,077.3)

Patents

(374.0)

(367.4)

Trademarks

(281.9)

(272.0)

Other technologies

(282.2)

(269.0)

(3,095.0)

(2,985.7)

Net intangible assets subject to amortization

2,294.2

2,458.5

Total

$3,524.2

$3,688.5

Other assets

Deferred income taxes

$229.0

$181.0

Pension

194.5

184.3

Derivative asset

7.9

2.9

Other

431.3

414.5

Total

$862.7

$782.7

March 31

December 31

(millions)

  ​ ​ ​

2026

2025

Other current liabilities

Discounts and rebates

$516.8

$528.4

Dividends payable

206.1

205.9

Interest payable

60.2

64.8

Taxes payable, other than income

193.2

179.5

Derivative liability

52.3

5.4

Restructuring

100.6

102.5

Contract liability

201.1

173.0

Operating lease liabilities

167.3

164.7

Other

271.3

313.3

Total

$1,768.9

$1,737.5

Accumulated other comprehensive income (loss)

Unrealized gain (loss) on derivative financial instruments, net of tax

($8.1)

($4.0)

Unrecognized pension and postretirement benefit expense, net of tax

(493.9)

(495.5)

Cumulative translation, net of tax

(1,124.1)

(1,374.8)

Total

($1,626.1)

($1,874.3)