Quarterly report pursuant to Section 13 or 15(d)

Condensed Consolidated Balance Sheets

v3.21.2
Condensed Consolidated Balance Sheets - USD ($)
shares in Thousands
Oct. 02, 2021
Dec. 31, 2020
Sep. 26, 2020
Current Assets      
Cash and Cash Equivalents, at Cost, Which Approximates Fair Value $ 1,486,400,000 $ 519,600,000 $ 650,400,000
Restricted cash 10,900,000 10,700,000 9,100,000
Short-Term Investments in Marketable Securities 800,000 56,700,000 800,000
Total Cash and Short-Term Investments in Marketable Securities 1,498,100,000 587,000,000.0 660,300,000
Accounts and Notes Receivable, less Allowances of $12.0, $8.5 and $8.1 451,100,000 337,600,000 398,800,000
Inventories      
Finished Goods 520,200,000 446,800,000 347,600,000
Work-In-Process 162,700,000 94,000,000.0 91,600,000
Raw Materials 257,600,000 171,000,000.0 150,200,000
Net Inventories 940,500,000 711,800,000 589,400,000
Prepaid Expenses and Other 52,300,000 34,100,000 32,700,000
Current Assets 2,942,000,000 1,670,500,000 1,681,200,000
Property      
Land 18,900,000 17,700,000 17,600,000
Buildings and Improvements 453,300,000 435,500,000 426,400,000
Equipment 1,299,500,000 1,184,900,000 1,141,400,000
Total Land, Buildings and Improvements and Equipment 1,771,700,000 1,638,100,000 1,585,400,000
Accumulated Depreciation (982,600,000) (929,800,000) (912,900,000)
Net Land, Buildings and Improvements and Equipment 789,100,000 708,300,000 672,500,000
Unamortized Product Tooling Costs 172,400,000 155,300,000 146,600,000
Net Property 961,500,000 863,600,000 819,100,000
Other Assets      
Goodwill 443,800,000 417,700,000 416,300,000
Other Intangibles, Net 549,200,000 552,300,000 559,600,000
Operating Lease Assets 83,100,000 83,000,000.0 82,000,000.0
Deferred Income Tax Asset 132,700,000 136,600,000 93,700,000
Equity Investments 41,300,000 32,500,000 25,500,000
Other Long-Term Assets 27,000,000.0 14,400,000 13,400,000
Other Assets 1,277,100,000 1,236,500,000 1,190,500,000
Total Assets 5,180,600,000 3,770,600,000 3,690,800,000
Current Liabilities      
Short-Term Debt and Current Maturities of Long-Term Debt 43,200,000 43,100,000 48,400,000
Accounts Payable 589,800,000 457,600,000 392,900,000
Accrued Expenses 623,300,000 578,500,000 508,300,000
Current Liabilities 1,256,300,000 1,079,200,000 949,600,000
Long-Term Liabilities      
Debt 1,787,700,000 908,300,000 1,013,200,000
Operating Lease Liabilities 67,600,000 69,800,000 69,300,000
Postretirement Benefits 70,800,000 74,700,000 71,900,000
Other 148,500,000 128,600,000 128,600,000
Long-Term Liabilities 2,074,600,000 1,181,400,000 1,283,000,000
Shareholders' equity      
Common Stock; Authorized: 200,000,000 Shares, $0.75 Par Value; Issued: 102,538,000 Shares; Outstanding: 79,114,000, 79,569,000 and 87,063,000 Shares 76,900,000 76,900,000 76,900,000
Additional Paid-In Capital 388,300,000 383,800,000 377,000,000.0
Retained Earnings 2,644,500,000 2,225,700,000 2,151,700,000
Treasury Stock, at Cost: 23,424,000, 22,969,000 and 15,475,000 Shares (1,225,000,000) (1,133,700,000) (1,095,500,000)
Accumulated Other Comprehensive Loss (35,000,000.0) (42,700,000) (51,900,000)
Shareholders' Equity 1,849,700,000 1,510,000,000 1,458,200,000
Total Liabilities and Shareholders' Equity $ 5,180,600,000 $ 3,770,600,000 $ 3,690,800,000
Common Stock, Shares Authorized (in Shares) 200,000 200,000 200,000
Common Stock, Par Value (in Dollars per Share) $ 0.75 $ 0.75 $ 0.75
Common Stock, Shares Issued (in Shares) 102,538 102,538 102,538
Accounts and Notes Receivable, Allowances $ 10,300,000 $ 10,700,000 $ 11,100,000
Common Stock, Shares Outstanding (in Shares) 77,134 77,875 78,421
Treasury Stock, Shares (in Shares) 25,404 24,663 24,117