v3.26.1
RESTRUCTURING CHARGES (Tables)
6 Months Ended
Jun. 30, 2026
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Reserve by Type of Cost The following table summarizes the restructuring activity by component and the remaining balances in accrued restructuring costs as of June 30, 2026 and 2025:
Employee Severance and Related Benefit CostsLease and Other Contract Termination CostsFacility Exit CostsWrite-off of Equipment and FacilityTotal
Restructuring Reserve Rollforward($ in millions)
Balance at January 1, 2025$3.1 $5.2 $— $— $8.3 
Restructuring charges:
First quarter1.6 0.2 2.2 — 4.0 
Second quarter3.8 — 3.6 — 7.4 
Amounts utilized(2.9)(5.3)(5.8)— (14.0)
Balance at June 30, 2025$5.6 $0.1 $— $— $5.7 
Balance at January 1, 2026$11.8 $6.7 $— $— $18.5 
Restructuring charges:
First quarter4.1 0.1 4.1 0.8 9.1 
Second quarter— — 8.9 1.6 10.5 
Amounts utilized(4.5)(1.1)(13.0)(2.4)(21.0)
Balance at June 30, 2026$11.4 $5.7 $— $— $17.1 
Cumulative Restructuring Charges by Type and Plan
The following table summarizes the cumulative restructuring charges for each segment related to the restructuring and optimization efforts summarized above, by component, through June 30, 2026:
Chlor Alkali Products and VinylsEpoxyOtherTotal
Cumulative Restructuring Charges($ in millions)
Write-off of equipment and facility$61.6 $24.9 $— $86.5 
Employee severance and related benefit costs12.5 20.6 3.1 36.2 
Facility exit costs70.0 41.6 — 111.6 
Lease and other contract termination costs6.9 38.3 — 45.2 
Total cumulative restructuring charges$151.0 $125.4 $3.1 $279.5