title,"Year Ending Jan 2021 (Update)","Year Ending Dec 2019 (Update)","Year Ending Dec 2018 (Update)","Year Ending Dec 2017 (Update)"
"Cash & Equivalents",252.300000,253.700000,232.000000,224.400000
"Cash and Short Term Investments",252.300000,253.700000,232.000000,224.400000
"Accounts Receivable - Trade, Gross",1279.800000,1239.300000,1210.800000,1216.500000
"Provision for Doubtful Accounts",-44.600000,-27.100000,-21.100000,-36.200000
"Accounts Receivable - Trade, Net",1235.200000,1212.200000,1189.700000,1180.300000
"Receivables - Other",,,27.000000,28.900000
"Total Receivables, Net",1235.200000,1212.200000,1216.700000,1209.200000
"Inventories - Finished Goods",238.300000,230.400000,218.500000,215.200000
"Inventories - Work In Progress",210.300000,201.000000,196.700000,179.800000
"Inventories - Raw Materials",268.600000,231.600000,236.200000,214.600000
"LIFO Reserve",,,,
"Total Inventory",717.200000,663.000000,651.400000,609.600000
"Discountinued Operations - Current Asset",,,3.600000,6.300000
"Other Current Assets",211.500000,211.700000,194.300000,188.400000
"Other Current Assets, Total",211.500000,211.700000,197.900000,194.700000
"Total Current Assets",2416.200000,2340.600000,2298.000000,2237.900000
"Buildings - Gross",746.400000,687.400000,643.100000,638.900000
"Land/Improvements - Gross",26.100000,25.100000,28.000000,31.100000
"Machinery/Equipment - Gross",2538.600000,2316.900000,2231.100000,2188.200000
"Construction in Progress - Gross",165.200000,142.200000,151.500000,142.700000
"Other Property/Plant/Equipment - Gross",161.300000,138.100000,,
"Property/Plant/Equipment, Total - Gross",3637.600000,3309.700000,3053.700000,3000.900000
"Accumulated Depreciation, Total",-2132.600000,-1960.900000,-1916.300000,-1903.000000
"Property/Plant/Equipment, Total - Net",1505.000000,1348.800000,1137.400000,1097.900000
"Goodwill, Net",1136.400000,930.800000,941.800000,985.100000
"Intangibles - Gross",1077.700000,933.700000,918.600000,905.900000
"Accumulated Intangible Amortization",-716.400000,-654.400000,-639.100000,-612.500000
"Intangibles, Net",361.300000,279.300000,279.500000,293.400000
"LT Investment - Affiliate Companies",5.300000,8.800000,6.700000,9.100000
"Long Term Investments",5.300000,8.800000,6.700000,9.100000
"Defered Income Tax - Long Term Asset",197.700000,225.400000,205.300000,196.300000
"Other Long Term Assets",462.000000,355.100000,308.800000,317.200000
"Other Long Term Assets, Total",659.700000,580.500000,514.100000,513.500000
"Total Assets",6083.900000,5488.800000,5177.500000,5136.900000
"Accounts Payable",1050.900000,1066.100000,1030.500000,1007.200000
"Accrued Expenses",423.500000,394.200000,347.700000,643.800000
"Notes Payable/Short Term Debt",22.200000,120.600000,176.500000,259.900000
"Current Port. of  LT Debt/Capital Leases",42.500000,319.600000,18.100000,5.500000
"Customer Advances",18.900000,12.600000,11.500000,
"Income Taxes Payable",86.300000,71.400000,58.100000,49.200000
"Discontinued Operations - Curr Liability",,,,
"Other Current Liabilities",281.700000,269.300000,351.600000,6.200000
"Other Current liabilities, Total",386.900000,353.300000,421.200000,55.400000
"Total Current Liabilities",1926.000000,2253.800000,1994.000000,1971.800000
"Long Term Debt",2029.200000,1475.300000,1771.600000,1316.300000
"Capital Lease Obligations",22.900000,24.000000,,
"Total Long Term Debt",2052.100000,1499.300000,1771.600000,1316.300000
"Total Debt",2116.800000,1939.500000,1966.200000,1581.700000
"Deferred Income Tax - LT Liability",117.300000,110.300000,122.100000,173.300000
"Deferred Income Tax",117.300000,110.300000,122.100000,173.300000
"Pension Benefits - Underfunded",386.200000,322.200000,334.400000,629.300000
"Other Long Term Liabilities",117.400000,99.200000,0.300000,
"Other Liabilities, Total",503.600000,421.400000,334.700000,629.300000
"Total Liabilities",4599.000000,4284.800000,4222.400000,4090.700000
"Common Stock",124.100000,124.100000,124.100000,124.100000
"Common Stock, Total",124.100000,124.100000,124.100000,124.100000
"Additional Paid-In Capital",862.100000,874.000000,872.000000,862.600000
"Retained Earnings (Accumulated Deficit)",3349.300000,2979.100000,2864.900000,2596.700000
"Treasury Stock - Common",-2501.000000,-2425.100000,-2223.900000,-1856.700000
"ESOP Debt Guarantee",,,,
"Translation Adjustment",-248.100000,-245.100000,-247.400000,-156.200000
"Minimum Pension Liability Adjustment",-92.700000,-101.800000,-434.300000,-524.000000
"Other Comprehensive Income",-8.800000,-1.200000,-0.300000,-0.300000
"Other Equity, Total",-349.600000,-348.100000,-682.000000,-680.500000
"Total Equity",1484.900000,1204.000000,955.100000,1046.200000
"Total Liabilities & Shareholders' Equity",6083.900000,5488.800000,5177.500000,5136.900000
"Shares Outs - Common Stock Primary Issue",83.151170,83.366840,84.723660,88.011540
"Total Common Shares Outstanding",83.151170,83.366840,84.723660,88.011540
"Treas Shares - Common Stock Prmry Issue",40.975450,40.759780,39.402970,36.115080
"Full-Time Employees",32000.000000,30000.000000,30000.000000,30000.000000
"Number of Common Shareholders",4195.000000,4397.000000,4606.000000,4854.000000
"Accumulated Intangible Amort, Suppl.",716.400000,654.400000,639.100000,612.500000
"Deferred Revenue - Current",18.900000,12.600000,11.500000,
"Deferred Revenue - Long Term",1.400000,0.300000,0.300000,
"Total Current Assets less Inventory",1699.000000,1677.600000,1646.600000,1628.300000
"Quick Ratio",0.882140,0.744340,0.825780,0.825790
"Current Ratio",1.254520,1.038510,1.152460,1.134950
"Net Debt Incl. Pref.Stock & Min.Interest",1864.500000,1685.800000,1734.200000,1357.300000
"Tangible Book Value, Common Equity",-12.800000,-6.100000,-266.200000,-232.300000
"Tangible Book Value per Share, Common Eq",-0.153940,-0.073170,-3.141980,-2.639430
"Total Long Term Debt, Supplemental",2042.800000,1751.500000,1782.300000,1304.500000
"Long Term Debt Maturing within 1 Year",0.000000,265.000000,14.400000,1.500000
"Long Term Debt Maturing in Year 2",0.000000,0.000000,265.000000,15.000000
"Long Term Debt Maturing in Year 3",250.000000,0.000000,0.000000,265.000000
"Long Term Debt Maturing in Year 4",0.000000,250.000000,0.000000,0.000000
"Long Term Debt Maturing in Year 5",644.900000,0.000000,250.000000,0.000000
"Long Term Debt Maturing in 2-3 Years",250.000000,0.000000,265.000000,280.000000
"Long Term Debt Maturing in 4-5 Years",644.900000,250.000000,250.000000,0.000000
"Long Term Debt Matur. in Year 6 & Beyond",1147.900000,1236.500000,1252.900000,1023.000000
"Interest Costs",-1.800000,-3.100000,,
"Total Capital Leases, Supplemental",28.500000,28.500000,30.500000,37.200000
"Capital Lease Payments Due in Year 1",14.100000,5.700000,5.900000,6.200000
"Capital Lease Payments Due in Year 2",5.500000,12.500000,5.400000,6.200000
"Capital Lease Payments Due in Year 3",4.800000,4.500000,5.200000,5.600000
"Capital Lease Payments Due in Year 4",4.500000,4.100000,4.800000,5.300000
"Capital Lease Payments Due in Year 5",1.300000,3.900000,4.700000,4.800000
"Capital Lease Payments Due in 2-3 Years",10.300000,17.000000,10.600000,11.800000
"Capital Lease Payments Due in 4-5 Years",5.800000,8.000000,9.500000,10.100000
"Cap. Lease Pymts. Due in Year 6 & Beyond",0.100000,0.900000,4.500000,9.100000
"Total Operating Leases, Supplemental",160.300000,140.300000,184.800000,189.700000
"Operating Lease Payments Due in Year 1",47.900000,46.000000,47.700000,48.200000
"Operating Lease Payments Due in Year 2",34.700000,35.200000,38.900000,35.800000
"Operating Lease Payments Due in Year 3",25.400000,22.400000,29.400000,26.300000
"Operating Lease Payments Due in Year 4",19.500000,15.200000,18.800000,18.200000
"Operating Lease Payments Due in Year 5",15.300000,11.100000,12.900000,13.600000
"Operating Lease Pymts. Due in 2-3 Years",60.100000,57.600000,68.300000,62.100000
"Operating Lease Pymts. Due in 4-5 Years",34.800000,26.300000,31.700000,31.800000
"Oper. Lse. Pymts. Due in Year 6 & Beyond",17.500000,10.400000,37.100000,47.600000
"Pension Obligation - Domestic",77.300000,75.700000,868.500000,1082.100000
"Pension Obligation - Foreign",953.900000,811.700000,755.800000,836.700000
"Post-Retirement Obligation",,,3.800000,4.100000
"Plan Assets - Domestic",0.000000,0.000000,735.600000,740.200000
"Plan Assets - Foreign",897.200000,734.400000,631.800000,683.700000
"Funded Status - Domestic",-77.300000,-75.700000,-132.900000,-341.900000
"Funded Status - Foreign",-56.700000,-77.300000,-124.000000,-153.000000
"Funded Status - Post-Retirement",,,-3.800000,-4.100000
"Accumulated Obligation - Domestic",77.300000,75.700000,868.500000,1082.100000
"Accumulated Obligation - Foreign",883.600000,754.000000,696.700000,355.600000
"Unfunded Plan Obligations",,,3.800000,4.100000
"Total Funded Status",-134.000000,-153.000000,-264.500000,-503.100000
"Discount Rate - Domestic",2.020000,2.930000,3.720000,3.710000
"Discount Rate - Foreign",1.260000,1.660000,2.390000,2.250000
"Discount Rate - Post-Retirement",,,4.210000,3.550000
"Compensation Rate - Domestic",,,,
"Compensation Rate - Foreign",2.150000,2.210000,2.230000,2.290000
"Prepaid Benefits - Domestic",,,,
"Prepaid Benefits - Foreign",,,,
"Accrued Liabilities - Domestic",-77.300000,-75.700000,-132.900000,-341.900000
"Accrued Liabilities - Foreign",-149.100000,-128.100000,-136.600000,-153.000000
"Accrued Liabilities - Post-Retirement",,,-3.800000,-4.100000
"Other Assets, Net - Domestic",,,,
"Other Assets, Net - Foreign",,,,
"Other Assets, Net - Post-Retirement",,,,
"Net Assets Recognized on Balance Sheet",-226.400000,-203.800000,-273.300000,-499.000000
"Equity % - Domestic",,,0.040780,
"Equity % - Foreign",37.093180,36.601310,29.281420,40.558720
"Debt Securities % - Domestic",,,95.948890,
"Debt Securities % - Foreign",52.374050,44.921020,47.546690,40.734240
"Real Estate % - Domestic",,,,
"Real Estate % - Foreign",,,,
"Private Investments % - Domestic",,,,
"Private Investments % - Foreign",4.592060,4.942810,5.840460,
"Other Investments % - Domestic",,,4.010330,100.000000
"Other Investments % - Foreign",5.940700,13.534860,17.331430,18.707040
"Total Plan Obligations",1031.200000,887.400000,1631.900000,1927.000000
"Total Plan Assets",897.200000,734.400000,1367.400000,1423.900000