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Credit and Other Debt Agreements (Tables)
6 Months Ended
Jun. 30, 2019
Debt Disclosure [Abstract]  
Summary of Corporate and Other Debt
The following is a summary of our corporate and other debt (in millions):
                 
 
June 30,
   
December 31,
 
 
2019
   
2018
 
Note Purchase Agreements:
   
     
 
Semi-annual payments of interest, fixed rate of 3.20%, balloon due June 24, 2019
  $
—  
    $
50.0
 
Semi-annual payments of interest, fixed rate of 5.85%, balloon due November 30, 2019
   
50.0
     
50.0
 
Semi-annual payments of interest, fixed rate of 3.48%, balloon due June 24, 2020
   
50.0
     
50.0
 
Semi-annual payments of interest, fixed rate of 3.99%, balloon due July 10, 2020
   
50.0
     
50.0
 
Semi-annual payments of interest, fixed rate of 5.18%, balloon due February 10, 2021
   
75.0
     
75.0
 
Semi-annual payments of interest, fixed rate of 3.69%, balloon due June 14, 2022
   
200.0
     
200.0
 
Semi-annual payments of interest, fixed rate of 5.49%, balloon due February 10, 2023
   
50.0
     
50.0
 
Semi-annual payments of interest, fixed rate of 4.13%, balloon due June 24, 2023
   
200.0
     
200.0
 
Quarterly payments of interest, floating rate of 90 day LIBOR plus 1.65%, balloon due August 2, 2023
   
50.0
     
50.0
 
Semi-annual payments of interest, fixed rate of 4.72%, balloon due February 13, 2024
   
100.0
     
—  
 
Semi-annual payments of interest, fixed rate of 4.58%, balloon due February 27, 2024
   
325.0
     
325.0
 
Quarterly payments of interest, floating rate of 90 day LIBOR plus 1.40%, balloon due June 13, 2024
   
50.0
     
50.0
 
Semi-annual payments of interest, fixed rate of 4.31%, balloon due June 24, 2025
   
200.0
     
200.0
 
Semi-annual payments of interest, fixed rate of 4.85%, balloon due February 13, 2026
   
140.0
     
—  
 
Semi-annual payments of interest, fixed rate of 4.73%, balloon due February 27, 2026
   
175.0
     
175.0
 
Semi-annual payments of interest, fixed rate of 4.40%, balloon due June 2, 2026
   
175.0
     
175.0
 
Semi-annual payments of interest, fixed rate of 4.36%, balloon due June 24, 2026
   
150.0
     
150.0
 
Semi-annual payments of interest, fixed rate of 4.09%, balloon due June 27, 2027
   
125.0
     
125.0
 
Semi-annual payments of interest, fixed rate of 4.09%, balloon due August 2, 2027
   
125.0
     
125.0
 
Semi-annual payments of interest, fixed rate of 4.14%, balloon due August 4, 2027
   
98.0
     
98.0
 
Semi-annual payments of interest, fixed rate of 3.46%, balloon due December 1, 2027
   
100.0
     
100.0
 
Semi-annual payments of interest, fixed rate of 4.55%, balloon due June 2, 2028
   
75.0
     
75.0
 
Semi-annual payments of interest, fixed rate of 4.34%, balloon due June 13, 2028
   
125.0
     
125.0
 
Semi-annual payments of interest, fixed rate of 5.04%, balloon due February 13, 2029
   
100.0
     
—  
 
Semi-annual payments of interest, fixed rate of 4.98%, balloon due February 27, 2029
   
100.0
     
100.0
 
Semi-annual payments of interest, fixed rate of 4.19%, balloon due June 27, 2029
   
50.0
     
50.0
 
Semi-annual payments of interest, fixed rate of 4.19%, balloon due August 2, 2029
   
50.0
     
50.0
 
Semi-annual payments of interest, fixed rate of 4.44%, balloon due June 13, 2030
   
125.0
     
125.0
 
Semi-annual payments of interest, fixed rate of 5.14%, balloon due March 13, 2031
   
180.0
     
—  
 
Semi-annual payments of interest, fixed rate of 4.70%, balloon due June 2, 2031
   
25.0
     
25.0
 
Semi-annual payments of interest, fixed rate of 4.34%, balloon due June 27, 2032
   
75.0
     
75.0
 
Semi-annual payments of interest, fixed rate of 4.34%, balloon due August 2, 2032
   
75.0
     
75.0
 
Semi-annual payments of interest, fixed rate of 4.59%, balloon due June 13, 2033
   
125.0
     
125.0
 
Semi-annual payments of interest, fixed rate of 5.29%, balloon due March 13, 2034
   
40.0
     
—  
 
Semi-annual payments of interest, fixed rate of 4.48%, balloon due June 12, 2034
   
175.0
     
—  
 
Semi-annual payments of interest, fixed rate of 4.69%, balloon due June 13, 2038
   
75.0
     
75.0
 
Semi-annual payments of interest, fixed rate of 5.45%, balloon due March 13, 2039
   
40.0
     
—  
 
                 
                 
Total Note Purchase Agreements
   
3,923.0
     
3,198.0
 
                 
Credit Agreement:
   
     
 
Periodic payments of interest and principal, prime or LIBOR plus up to 1.45%, expires June 7, 2024
   
325.0
     
265.0
 
                 
Premium Financing Debt Facility - expires May 18, 2020:
   
     
 
Periodic payments of interest and principal, Interbank rates plus 1.05% for Facility B; plus 0.55% for Facilities C and D
   
     
 
Facility B
   
     
 
AUD denominated tranche
   
111.7
     
133.9
 
NZD denominated tranche
   
—  
     
10.1
 
Facility C and D
   
     
 
AUD denominated tranche
   
15.6
     
—  
 
NZD denominated tranche
   
10.0
     
10.0
 
                 
                 
Total Premium Financing Debt Facility
   
137.3
     
154.0
 
                 
                 
Total corporate and other debt
   
4,385.3
     
3,617.0
 
                 
Less unamortized debt acquisition costs on Note Purchase Agreements
   
(7.4
)    
(6.6
)
                 
                 
Net corporate and other debt
  $
4,377.9
    $
  3,610.4