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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
OPERATING ACTIVITIES      
Net income including noncontrolling interest $ 1,393.0 $ 1,108.9 $ 1,144.0
Adjustments to reconcile net income to cash provided by operating activities:      
Depreciation 616.7 618.5 604.4
Amortization 306.9 320.2 238.7
Deferred income taxes (55.7) (142.6) (1.1)
Share-based compensation expense 95.1 87.8 89.5
Pension and postretirement plan contributions (109.3) (64.3) (60.2)
Pension and postretirement plan expense (income), net 3.1 45.5 42.4
Restructuring charges, net of cash paid (32.6) 66.2 (41.7)
Debt refinancing     29.4
Other, net 31.9 24.9 15.9
Changes in operating assets and liabilities, net of effect of acquisitions:      
Accounts receivable (84.3) (319.6) (178.2)
Inventories 320.3 (402.9) (73.0)
Other assets 72.2 (278.2) (92.9)
Accounts payable (232.3) 394.7 200.4
Other liabilities 86.8 329.3 144.3
Cash provided by operating activities 2,411.8 1,788.4 2,061.9 Close
INVESTING ACTIVITIES      
Capital expenditures (774.8) (712.8) (643.0)
Property and other assets sold 9.9 2.2 12.2
Acquisitions and investments in affiliates, net of cash acquired (180.4) (7.2) (3,923.7)
Other, net (45.2) 1.0 (25.2)
Cash used for investing activities (990.5) (716.8) (4,579.7) Close
FINANCING ACTIVITIES      
Net (repayments) issuances of commercial paper and notes payable (1.9) (404.3) 393.6
Long-term debt borrowings   494.0 2,775.0
Long-term debt repayments (500.0)   (1,017.9)
Reacquired shares (13.7) (518.2) (106.6)
Dividends paid (617.3) (602.8) (566.4)
Exercise of employee stock options 96.8 29.1 143.5
Debt refinancing     (29.4)
Hedge settlements (15.3) 172.0 25.9
Other, net (3.3) (7.1) (14.5)
Cash used for financing activities (1,054.7) (837.3) 1,603.2 Close
Effect of exchange rate changes on cash and cash equivalents (45.7) 4.4 14.3 Close
Increase (decrease) in cash and cash equivalents 320.9 238.7 (900.3) Close
Cash and cash equivalents, beginning of period 598.6 359.9 1,260.2
Cash and cash equivalents, end of period 919.5 598.6 359.9
SUPPLEMENTAL CASH FLOW INFORMATION      
Income taxes paid 469.2 308.9 275.7
Net interest paid $ 324.8 $ 222.4 $ 208.7