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Accumulated Other Comprehensive Loss
12 Months Ended
Dec. 31, 2022
Accumulated Other Comprehensive Loss [Abstract]  
Accumulated Other Comprehensive Loss ACCUMULATED OTHER COMPREHENSIVE LOSS
The following presents the components of accumulated other comprehensive loss (AOCL), net of related tax effects:
20222021
(Amounts in thousands)Foreign currency translation items(1)Pension and other post-retirement effectsCash flow hedging activity (2)Total(1)Foreign currency translation items(1)Pension and other post-retirement effectsCash flow hedging activity (2)Total(1)
Balance - January 1$(456,025)$(101,665)$(1,336)$(559,026)$(456,549)$(146,723)$(488)$(603,760)
Other comprehensive income (loss) before reclassifications (3)(98,658)16,684 314 (81,660)524 34,960 — 35,484 
Amounts
reclassified
from AOCL
— (1,375)89 (1,286)— 10,098 (848)9,250 
Net current-period other comprehensive income (loss) (3)(98,658)15,309 403 (82,946)524 45,058 (848)44,734 
Balance - December 31$(554,683)$(86,356)$(933)$(641,972)$(456,025)$(101,665)$(1,336)$(559,026)
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(1)Includes foreign currency translation adjustments attributable to noncontrolling interests of $5.8 million, $4.6 million and $5.9 million for December 31, 2022, 2021 and 2020, respectively. Also includes the cumulative impacts from the changes in fair value of our cross-currency swaps, which were $49.0 million, $17.7 million and $(13.8) million for December 31, 2022, 2021 and 2020, respectively.
(2)Other comprehensive loss before reclassifications and amounts reclassified from AOCL to interest expense related to designated cash flow hedges.
(3)Amounts in parentheses indicate an increase to AOCL.
The following table presents the reclassifications out of AOCL:

(Amounts in thousands)Affected line item in the statement of income2022(1)2021(1)
Pension and other postretirement effects
  Amortization of actuarial losses(2)Other income (expense), net$(6,382)$(12,213)
  Prior service costs(2)Other income (expense), net(591)(610)
  Settlements and other(2)Other income (expense), net(75)(640)
Tax benefit (expense)8,423 3,365 
Net of tax$1,375 $(10,098)
Cash flow hedging activity
  Amortization of Treasury rate lockInterest income (expense)$(117)$848 
Tax benefit (expense)28 — 
Net of tax$(89)$848 
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(1) Amounts in parentheses indicate decreases to income. None of the reclassification amounts have a noncontrolling interest component.
(2) These AOCL components are included in the computation of net periodic pension cost. See Note 13 for additional details.