Annual report pursuant to Section 13 and 15(d)

Consolidated Balance Sheets

v3.20.4
Consolidated Balance Sheets - USD ($)
$ in Millions
Dec. 31, 2020
Dec. 31, 2019
Current Assets    
Cash and Cash Equivalents, at Cost, Which Approximates Fair Value $ 519.6 $ 320.3
Short-Term Investments in Marketable Securities 56.7 0.8
Total Cash and Short-Term Investments in Marketable Securities 587.0 332.7
Accounts and Notes Receivable, Less Allowances of $11.3 and $9.2 337.6 331.8
Inventories    
Finished Goods 446.8 554.3
Work-In-Process 94.0 101.3
Raw Materials 171.0 168.9
Net Inventories 711.8 824.5
Prepaid Expenses and Other 34.1 36.8
Current Assets 1,670.5 1,525.8
Property    
Land 17.7 17.8
Buildings and Improvements 435.5 415.4
Equipment 1,184.9 1,090.1
Total Land, Buildings and Improvements and Equipment 1,638.1 1,523.3
Accumulated Depreciation (929.8) (863.8)
Net Land, Buildings and Improvements and Equipment 708.3 659.5
Unamortized Product Tooling Costs 155.3 136.9
Net Property 863.6 796.4
Other Assets    
Goodwill 417.7 415.0
Other Intangibles, Net 552.3 583.5
Equity Investments 32.5 29.5
Deferred Revenue 136.6 118.7
Operating lease assets 83.0 83.2
Other long-term assets 14.4 12.3
Other Assets 1,236.5 1,242.2
Total Assets 3,770.6 3,564.4
Current Liabilities    
Short-Term Debt and Current Maturities of Long-Term Debt 43.1 41.3
Accounts Payable 457.6 393.5
Accrued Expenses 578.5 509.6
Current Liabilities 1,079.2 944.4
Long-Term Liabilities    
Debt 908.3 1,068.0
Non-Current Operating Lease Liabilities 69.8 70.1
Postretirement Benefits 74.7 73.6
Other 128.6 107.4
Long-Term Liabilities 1,181.4 1,319.1
Shareholders' Equity    
Common Stock; Authorized: 200,000,000 Shares, $0.75 Par Value; Issued: 102,538,000 Shares; Outstanding: 86,757,000 and 87,537,000 Shares 76.9 76.9
Additional Paid-In Capital 383.8 369.2
Retained Earnings 2,225.7 1,931.3
Treasury Stock, at Cost: 15,781,000 and 15,001,000 Shares (1,133.7) (1,023.1)
Accumulated Other Comprehensive Loss, Net of Tax:    
Foreign Currency Translation (15.1) (37.6)
Prior Service Credits (3.5) (3.0)
Net Actuarial Losses (8.9) (7.3)
Unrealized Losses on Derivatives (15.2) (5.5)
Total Accumulated Other Comprehensive Loss, Net of Tax (42.7) (53.4)
Shareholders' Equity 1,510.0 1,300.9
Total Liabilities and Shareholders' Equity $ 3,770.6 $ 3,564.4
Common Stock, Shares Authorized (in Shares) 200,000,000 200,000,000
Common Stock, Par Value (in Dollars per Share) $ 0.75 $ 0.75
Common Stock, Shares Outstanding 77,875,000 79,569,000
Common Stock, Shares Issued (in Shares) 102,538,000 102,538,000
Treasury Stock, Shares (in Shares) 24,663,000 22,969,000
Accounts and Notes Receivable, Allowances $ 10.7 $ 8.5
Less: Restricted Cash $ 10.7 $ 11.6