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Debt (Tables)
9 Months Ended
Sep. 30, 2024
Debt Disclosure [Abstract]  
Schedule of Line of Credit Facilities
Debt for the Company consists of the following:
September 30, 2024December 31, 2023
(in millions, except percentages)AmountRateAmountRateMaturity Date
2023 Credit Agreement:
Term A Facility$481.3 (1)$500.0 (2)October 10, 2028
Revolver— (1)183.0 (2)October 10, 2028
2031 Senior Notes800.0 3.875%800.0 3.875%October 15, 2031
2029 Senior Notes800.0 4.000%800.0 4.000%April 15, 2029
Securitized debt28.8 (3)157.6 (3)October 8, 2026
Finance lease obligations (4)
93.5 92.1 Various
Other84.2 60.9 Various
Total debt2,287.8 2,593.6 
Less: Deferred financing costs14.3 21.7 
Total debt, net2,273.5 2,571.9 
Less: Current portion46.4 44.9 
Total long-term debt, net$2,227.1 $2,527.0 
(1)
Interest at SOFR index plus 10 basis points of credit spread adjustment, plus applicable margin of 1.250%.
(2)
Interest at SOFR index plus 10 basis points of credit spread adjustment, plus applicable margin of 1.625% as of December 31, 2023.
(3)
Interest at one month SOFR index plus 10 basis points of credit spread adjustment, plus 85 basis points.
(4)
New finance lease obligations are a non-cash financing activity.