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FAIR VALUE MEASUREMENT: (Tables)
6 Months Ended
Jun. 30, 2025
FAIR VALUE MEASUREMENT:  
Schedule of carrying amount and estimated fair values of the Company's financial instruments Consequently, such financial instruments are not included in the following table, which provides information about the carrying amounts and estimated fair values of other financial instruments that are not measured at fair value in the condensed consolidated balance sheet as of June 30, 2025 and December 31, 2024 (in millions):

At June 30, 2025

At December 31, 2024

    

Carrying Value

    

Fair Value

    

Carrying Value

    

Fair Value

Liabilities:

Current portion of long-term debt level 1

$

$

$

499.8

$

498.4

Long-term debt level 1

6,697.1

6,755.2

5,707.3

$

5,653.6

Long-term debt level 2

51.2

53.7

51.2

53.1

Total long-term debt

$

6,748.2

$

6,808.9

$

5,758.5

$

5,706.7

Schedule of fair values of assets and liabilities measured at fair value on a recurring basis

Fair values of assets and liabilities measured at fair value on a recurring basis were calculated as follows as of June 30, 2025 and December 31, 2024 (in millions):

Fair Value at Measurement Date Using:

    

    

    

Significant

    

Fair Value

Quoted prices in

other

Significant

as of

active markets for

observable

unobservable

June 30, 

identical assets

inputs

inputs

Description

2025

(Level 1)

(Level 2)

(Level 3)

Assets:

Short term investment:

Trading securities

$

675.3

$

675.3

$

$

Available-for-sale debt securities:

Corporate bonds

 

Asset backed securities

 

Mortgage backed securities

 

0.1

0.1

Accounts receivable:

Embedded derivativesNot classified as hedges:

Provisionally priced sales:

Copper

 

1,050.2

 

1,050.2

Molybdenum

 

354.2

 

354.2

 

Total

$

2,079.8

$

2,079.7

$

0.1

$

(*) Less than $0.1 million

Fair Value at Measurement Date Using:

    

    

    

Significant

    

Fair Value

Quoted prices in

other

Significant

as of

active markets for

observable

unobservable

December 31, 

identical assets

inputs

inputs

Description

2024

(Level 1)

(Level 2)

(Level 3)

Assets:

Short term investment:

Trading securities

$

245.2

$

245.2

$

$

Available-for-sale debt securities:

Asset backed securities

 

Mortgage backed securities

 

0.1

0.1

Accounts receivable:

Embedded derivatives-Not classified as hedges:

Provisionally priced sales:

Copper

 

589.5

 

589.5

Molybdenum

 

274.5

 

274.5

 

Total

$

1,109.3

$

1,109.2

$

0.1

$