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Long-Term Debt (Tables)
3 Months Ended
Mar. 31, 2025
Long-Term Debt [Abstract]  
Long-Term Debt

The following table presents the Company’s long-term debt at March 31, 2025 and December 31, 2024:

March 31, 

December 31, 

    

2025

    

2024

Revolving Credit Agreement, bearing interest ranging from 4.02% to 7.50% (a)

$

2,479,726

$

2,164,325

4.25% Senior Notes due 2028

500,000

500,000

3.50% Senior Notes due 2029

500,000

500,000

4.50% Senior Notes due 2029

347,800

347,500

2.60% Senior Notes due 2030

600,000

600,000

2.20% Senior Notes due 2032

650,000

650,000

3.20% Senior Notes due 2032

500,000

500,000

4.20% Senior Notes due 2033

750,000

750,000

5.00% Senior Notes due 2034

750,000

750,000

3.05% Senior Notes due 2050

500,000

500,000

2.95% Senior Notes due 2052

850,000

850,000

Notes payable to sellers and other third parties, bearing interest ranging from 2.42% to 10.35%, principal and interest payments due periodically with due dates ranging from 2028 to 2044 (a)

 

29,316

 

30,641

Finance leases, bearing interest ranging from 1.89% to 5.07%, with lease expiration dates ranging from 2026 to 2029 (a)

8,344

9,247

 

8,465,186

 

8,151,713

Less – current portion

 

(7,657)

 

(7,851)

Less – unamortized debt discount and issuance costs

 

(69,165)

 

(70,934)

Long-term portion of debt and notes payable

$

8,388,364

$

8,072,928

____________________

(a)Interest rates represent the interest rates at March 31, 2025.
Details of the Company's Credit Agreement

March 31, 

December 31, 

 

    

2025

    

2024

 

Revolver

 

  

 

  

Available

$

464,124

$

778,374

Letters of credit outstanding

$

56,150

$

57,301

Total amount drawn, as follows:

$

2,479,726

$

2,164,325

Amount drawn – U.S. Term SOFR rate loan

$

1,225,000

$

800,000

Interest rate applicable – U.S. Term SOFR rate loan

5.42

%

5.65

%

Amount drawn – U.S. Term SOFR rate loan

$

320,000

$

500,000

Interest rate applicable – U.S. Term SOFR rate loan

5.43

%

5.69

%

Amount drawn – U.S. Term SOFR rate loan

$

160,000

$

50,000

Interest rate applicable – U.S. Term SOFR rate loan

5.42

%

5.46

%

Amount drawn – U.S. base rate loan

$

20,000

$

95,000

Interest rate applicable – U.S. base rate loan

7.50

%

7.50

%

Amount drawn – Canadian Term CORRA loan

$

678,210

$

590,750

Interest rate applicable - Canadian term CORRA loan

4.21

%

5.24

%

Amount drawn – Canadian Term CORRA loan

$

66,082

$

86,875

Interest rate applicable - Canadian term CORRA loan

4.02

%

4.59

%

Amount drawn – Canadian prime rate loan

$

10,434

$

41,700

Interest rate applicable - Canadian prime rate loan

 

4.95

%

 

5.45

%

Commitment – rate applicable

 

0.09

%  

 

0.09

%