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Debt Schedule of Long-term Debt Instruments (Tables)
12 Months Ended
Dec. 31, 2021
Debt Instrument [Line Items]  
Schedule of Debt [Table Text Block]
Debt is composed of the following obligations.
December 31,
($ in millions)20212020
Short-term debt:
Local overdraft facilities$9.2 12.0 
Other short-term borrowings138.7 50.0 
Long-term senior notes, 4.4%, face amount of $275.0, due November 2022, net of debt issuance costs of $0.3 and $—
274.7 — 
Total short-term debt$422.6 62.0 
Credit facility, net of debt issuance costs of $11.8 and $8.7
138.2 (8.7)
Long-term senior notes, 4.4%, face amount of $275.0, due November 2022, net of debt issuance costs of $— and $0.8
 274.2 
Long-term senior notes, 1.96%, face amount of €175.0, due June 2027, net of debt issuance costs of $0.6 and $0.8
197.9 213.9 
Long-term senior notes, 2.21%, face amount of €175.0, due June 2029, net of debt issuance costs of $0.8 and $0.9
197.7 213.9 
Total debt$956.4 755.3 
Schedule of Credit Facility, Average Outstanding Amount [Table Text Block]
The following table provides additional information on our Facility.
Year Ended December 31,
($ in millions)20212020
Average outstanding borrowings under the Facility$432.0 865.1 
Average effective interest rate on the Facility0.9 %1.6 %