v3.26.1
Condensed Group Balance Sheet - USD ($)
$ in Millions
Jun. 27, 2026
Dec. 31, 2025
Jun. 28, 2025
Non-current assets      
Property, plant and equipment $ 1,615 $ 1,638 $ 1,436
Goodwill 3,236 3,108 3,111
Intangible assets 1,109 882 962
Investments in associates 126 121 7
Investments 25 30 29
Other non-current assets 197 164 49
Retirement benefit assets 66 64 70
Deferred tax assets 252 347 401
Total non current assets 6,626 6,354 6,065
Current assets      
Inventories 2,113 2,117 2,467
Trade and other receivables 1,487 1,413 1,435
Current tax receivable 33 16 49
Cash and cash equivalents 754 557 676
Total current assets 4,387 4,103 4,627
TOTAL ASSETS 11,013 10,457 10,692
Equity attributable to owners of the Company      
Share capital 175 175 175
Share premium 615 615 615
Capital redemption reserve 20 20 20
Treasury shares (733) (515) (48)
Other reserves (327) (329) (347)
Retained earnings 5,430 5,323 5,121
Total equity 5,180 5,289 5,536
Non-current liabilities      
Long-term borrowings and lease liabilities 3,212 3,177 3,297
Retirement benefit obligations 88 84 86
Other payables 370 190 96
Provisions 72 82 94
Deferred tax liabilities 40 40 42
Total non-current liabilities 3,782 3,573 3,615
Current liabilities      
Bank overdrafts, borrowings, loans and lease liabilities 573 150 157
Trade and other payables 1,249 1,177 1,097
Provisions 68 74 58
Current tax payable 161 194 229
Total current liabilities 2,051 1,595 1,541
Total liabilities 5,833 5,168 5,156
TOTAL EQUITY AND LIABILITIES $ 11,013 $ 10,457 $ 10,692