XML 56 R27.htm IDEA: XBRL DOCUMENT v3.22.0.1
Accumulated Other Comprehensive Loss
12 Months Ended
Dec. 31, 2021
Equity [Abstract]  
Accumulated Other Comprehensive Loss Accumulated Other Comprehensive Loss
Changes in Accumulated other comprehensive loss for the years ended December 31, were as follows (in thousands):
2021
Foreign currency translation adjustmentsDerivative financial instrumentsPension and postretirement benefit plansTotal
Balance, beginning of period$(7,589)$(46,116)$(429,712)$(483,417)
Other comprehensive (loss) income, before reclassifications(38,988)(73,207)251,790 139,595 
Income tax benefit (expense)2,176 15,883 (59,120)(41,061)
(36,812)(57,324)192,670 98,534 
Reclassifications:
Net losses on derivative financial instruments— 130,609 — 130,609 
Prior service credits(a)
— — (3,570)(3,570)
Actuarial losses(a)
— — 68,989 68,989 
Curtailment and settlement losses(a)
— — (9,840)(9,840)
Reclassifications before tax— 130,609 55,579 186,188 
Income tax expense— (29,174)(13,050)(42,224)
— 101,435 42,529 143,964 
Other comprehensive (loss) income(36,812)44,111 235,199 242,498 
Balance, end of period$(44,401)$(2,005)$(194,513)$(240,919)
2020
Foreign currency translation adjustmentsDerivative financial instrumentsPension and postretirement benefit plansTotal
Balance, beginning of period$(40,813)$(14,586)$(481,550)$(536,949)
Other comprehensive income, before reclassifications37,088 107,181 2,193 146,462 
Income tax expense(3,864)(23,626)(515)(28,005)
33,224 83,555 1,678 118,457 
Reclassifications:
Net gains on derivative financial instruments— (148,107)— (148,107)
Prior service credits(a)
— — (3,469)(3,469)
Actuarial losses(a)
— — 65,981 65,981 
Curtailment and settlement losses(a)
— — 3,040 3,040 
Reclassifications before tax— (148,107)65,552 (82,555)
Income tax benefit (expense)— 33,022 (15,392)17,630 
— (115,085)50,160 (64,925)
Other comprehensive income (loss)33,224 (31,530)51,838 53,532 
Balance, end of period$(7,589)$(46,116)$(429,712)$(483,417)
2019
Foreign currency translation adjustmentsDerivative financial instrumentsPension and postretirement benefit plansTotal
Balance, beginning of period$(49,608)$1,785 $(581,861)$(629,684)
Other comprehensive income, before reclassifications9,229 6,477 90,071 105,777 
Income tax expense(434)(1,541)(21,149)(23,124)
8,795 4,936 68,922 82,653 
Reclassifications:
Net gains on derivative financial instruments— (27,732)— (27,732)
Prior service credits(a)
— — (4,311)(4,311)
Actuarial losses(a)
— — 44,788 44,788 
Curtailment and settlement losses(a)
— — 543 543 
Reclassifications before tax— (27,732)41,020 13,288 
Income tax benefit (expense)— 6,425 (9,631)(3,206)
— (21,307)31,389 10,082 
Other comprehensive income (loss)8,795 (16,371)100,311 92,735 
Balance, end of period$(40,813)$(14,586)$(481,550)$(536,949)
(a)Amounts reclassified are included in the computation of net periodic benefit cost, discussed further in Note 15.