XML 77 R58.htm IDEA: XBRL DOCUMENT v3.25.0.1
Debt - Schedule of Borrowings Outstanding (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Long-term Debt, Current and Noncurrent [Abstract]    
Finance lease obligations $ 88.7 $ 92.1
Total debt 3,844.5 2,593.6
Less: Deferred financing costs and discounts 34.6 21.7
Total debt, net 3,809.9 2,571.9
Less: Current portion 69.5 44.9
Total long-term debt, net 3,740.4 2,527.0
2031 Senior Notes    
Long-term Debt, Current and Noncurrent [Abstract]    
Long term debt, gross $ 800.0 $ 800.0
Line of Credit Facility [Abstract]    
Stated percentage 3.875% 3.875%
2029 Senior Notes    
Long-term Debt, Current and Noncurrent [Abstract]    
Long term debt, gross $ 800.0 $ 800.0
Line of Credit Facility [Abstract]    
Stated percentage 4.00% 4.00%
Securitized debt    
Long-term Debt, Current and Noncurrent [Abstract]    
Long term debt, gross $ 0.0 $ 157.6
Securitized debt | Secured Overnight Financing Rate (SOFR)    
Line of Credit Facility [Abstract]    
Credit spread adjustment (as a percent) 0.10% 0.10%
Index rate or LIBOR plus (percentage) 0.85%  
Other    
Long-term Debt, Current and Noncurrent [Abstract]    
Long term debt, gross $ 80.8 $ 60.9
2023 Credit Agreement | Revolver    
Long-term Debt, Current and Noncurrent [Abstract]    
Long term debt, gross $ 0.0 183.0
2023 Credit Agreement | Revolver | LIBOR    
Line of Credit Facility [Abstract]    
Index rate or LIBOR plus (percentage) 1.25%  
2023 Credit Agreement | Term A Facility    
Long-term Debt, Current and Noncurrent [Abstract]    
Long term debt, gross $ 475.0 $ 500.0
2023 Credit Agreement | Term A Facility | LIBOR    
Line of Credit Facility [Abstract]    
Index rate or LIBOR plus (percentage) 1.25% 1.625%
2023 Credit Agreement | Term B Facility    
Long-term Debt, Current and Noncurrent [Abstract]    
Long term debt, gross $ 1,600.0 $ 0.0
2023 Credit Agreement | Term B Facility | LIBOR    
Line of Credit Facility [Abstract]    
Index rate or LIBOR plus (percentage) 2.50%