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Debt (Tables)
12 Months Ended
Dec. 31, 2022
Debt Disclosure [Abstract]  
Long-term Debt
Long-term debt, net consisted of the following at December 31:
20222021
(In thousands)
U.S. dollar 3.73% senior notes due September 2024
$300,000 $300,000 
U.S. dollar 3.91% senior notes due June 2025
50,000 50,000 
U.S. dollar 3.96% senior notes due August 2025
100,000 100,000 
U.S. dollar 4.18% senior notes due December 2025
275,000 275,000 
U.S. dollar 3.83% senior notes due September 2026
100,000 100,000 
U.S. dollar 4.32% senior notes due December 2027
250,000 250,000 
U.S. dollar 4.37% senior notes due December 2028
50,000 50,000 
U.S. dollar 3.98% senior notes due September 2029
100,000 100,000 
U.S. dollar 4.45% senior notes due August 2035
50,000 50,000 
British pound 2.59% senior note due November 2028
181,157 203,046 
British pound 2.70% senior note due November 2031
90,579 101,510 
Euro 1.34% senior notes due October 2026
320,808 341,284 
Euro 1.71% senior notes due December 2027
80,205 85,323 
Euro 1.53% senior notes due October 2028
213,894 227,541 
Revolving credit facility borrowings219,000 314,480 
Other, principally foreign11,759 1,976 
Less: Debt issuance costs(7,395)(5,919)
Total debt, net2,385,007 2,544,241 
Less: Current portion, net(226,079)(315,093)
Total long-term debt, net$2,158,928 $2,229,148