title,"Year Ending Jan 2021 (Update)","Year Ending Dec 2019 (Update)","Year Ending Dec 2018 (Update)","Year Ending Dec 2017 (Reclassified)"
"Net Income/Starting Line",555.900000,303.600000,467.400000,281.800000
Depreciation,154.200000,140.300000,141.500000,126.600000
Depreciation/Depletion,154.200000,140.300000,141.500000,126.600000
"Amortization of Intangibles",51.100000,38.700000,39.500000,52.100000
Amortization,51.100000,38.700000,39.500000,52.100000
"Deferred Taxes",9.300000,-216.900000,-32.700000,151.600000
"Unusual Items",0.500000,444.100000,100.500000,-0.400000
"Other Non-Cash Items",132.900000,121.500000,133.500000,121.700000
"Non-Cash Items",133.400000,565.600000,234.000000,121.300000
"Accounts Receivable",14.700000,-42.200000,-62.500000,-141.200000
Inventories,-6.000000,-18.100000,-70.500000,-14.900000
"Other Assets",18.200000,38.400000,-11.600000,-20.900000
"Accounts Payable",-68.200000,46.400000,43.600000,83.400000
"Accrued Expenses",,,-29.800000,-0.600000
"Taxes Payable",-35.200000,5.400000,-35.500000,29.600000
"Other Liabilities",-76.100000,-114.700000,-225.500000,-23.100000
"Other Operating Cash Flow",,,,
"Changes in Working Capital",-152.600000,-84.800000,-391.800000,-87.700000
"Cash from Operating Activities",751.300000,746.500000,457.900000,645.700000
"Purchase of Fixed Assets",-201.400000,-219.400000,-226.700000,-190.500000
"Purchase/Acquisition of Intangibles",-17.200000,-37.800000,-29.900000,-35.600000
"Capital Expenditures",-218.600000,-257.200000,-256.600000,-226.100000
"Acquisition of Business",-350.400000,-6.500000,-3.800000,-319.300000
"Sale of Business",,,,
"Sale of Fixed Assets",9.200000,7.800000,9.400000,6.000000
"Sale/Maturity of Investment",,,,
"Investment, Net",5.600000,4.900000,18.500000,-3.900000
"Other Investing Cash Flow",,,,
"Other Investing Cash Flow Items, Total",-335.600000,6.200000,24.100000,-317.200000
"Cash from Investing Activities",-554.200000,-251.000000,-232.500000,-543.300000
"Other Financing Cash Flow",-19.700000,-19.000000,-49.500000,1.400000
"Financing Cash Flow Items",-19.700000,-19.000000,-49.500000,1.400000
"Cash Dividends Paid - Common",-196.800000,-189.700000,-175.000000,-155.500000
"Total Cash Dividends Paid",-196.800000,-189.700000,-175.000000,-155.500000
"Repurchase/Retirement of Common",-104.300000,-237.700000,-392.900000,-129.700000
"Common Stock, Net",-104.300000,-237.700000,-392.900000,-129.700000
"Options Exercised",,,,
"Issuance (Retirement) of Stock, Net",-104.300000,-237.700000,-392.900000,-129.700000
"Short Term Debt, Net",-110.400000,-5.300000,-77.600000,-89.200000
"Long Term Debt Issued",993.700000,0.000000,493.300000,542.900000
"Long Term Debt Reduction",-770.200000,-18.600000,-6.400000,-253.800000
"Long Term Debt, Net",223.500000,-18.600000,486.900000,289.100000
"Issuance (Retirement) of Debt, Net",113.100000,-23.900000,409.300000,199.900000
"Cash from Financing Activities",-207.700000,-470.300000,-208.100000,-83.900000
"Foreign Exchange Effects",9.200000,-3.500000,-9.700000,10.800000
"Net Change in Cash",-1.400000,21.700000,7.600000,29.300000
"Net Cash - Beginning Balance",253.700000,232.000000,224.400000,195.100000
"Net Cash - Ending Balance",252.300000,253.700000,232.000000,224.400000
"Cash Interest Paid",69.600000,74.300000,54.900000,57.700000
"Cash Taxes Paid",203.400000,155.000000,153.500000,125.600000