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Pension Plan, as restated (Tables)
3 Months Ended
Mar. 31, 2023
Retirement Benefits [Abstract]  
Schedule of Defined Benefit Plans

The following table presents the components of our net periodic pension benefit:

 

   2023   2022 
  

Three Months Ended

March 31,

 
   2023   2022 
   (in millions) 
Components of net periodic pension benefit:        
Interest cost  $0.8   $0.6 
Expected return on plan assets   (0.9)   (0.9)
Amortization of net loss   0.2    0.1 
Net periodic benefit  $0.1   $(0.2)
Schedule of Pension Plans and their Reconciliation

The following table sets forth the estimate of the combined funded status of the pension plans and their reconciliation to the related amounts recognized in our consolidated financial statements at the respective measurement dates:

 

  

March 31, 2023

  

December 31, 2022

 
   (in millions) 
Change in benefit obligation:          
Benefit obligation at beginning of period  $71.2   $122.7 
Interest cost   0.8    2.2 
Actuarial loss (gain)       (39.0)
Benefits paid   (0.7)   (3.5)
Foreign currency translation adjustments   1.9    (11.2)
Benefit obligation at end of period  $73.2   $71.2 
Change in plan assets:          
Fair value of plan assets at beginning of period  $69.1   $125.7 
Actual gain (loss) on plan assets   0.9    (42.4)
Employer contributions   0.3    1.4 
Benefits paid   (0.7)   (3.5)
Foreign currency translation adjustments   1.8    (12.1)
Fair value of assets at end of period  $71.4   $69.1 
Amount recognized in the consolidated balance sheets:          
Unfunded status (non-current)  $(1.8)  $(2.1)
Net amount recognized  $(1.8)  $(2.1)