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Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2024
Fair Value Measurement [Abstract]  
Schedule of Fair Value Hierarchy for Assets
The following tables summarize the Company’s fair value hierarchy for those assets and liabilities measured and adjusted to fair value on a recurring basis:
Carrying
Amount
Level 1Level 2Level 3
At December 31, 2024
Notes$$$$
Assets
Investments held for self-insured liabilities14195.7 — 195.7 — 
Derivative financial instruments14,2420.7 — 20.7 — 
Liabilities
Notes payable16116.8 — — 116.8 
At December 31, 2023
Assets
Investments held for self-insured liabilities14204.5 — 204.5 — 
Derivative financial instruments14,2420.0 — 20.0 — 
Liabilities
Notes payable16,6.c52.0 — — 52.0 
Schedule of Fair Value Hierarchy for Liabilities
The following tables summarize the Company’s fair value hierarchy for those assets and liabilities measured and adjusted to fair value on a recurring basis:
Carrying
Amount
Level 1Level 2Level 3
At December 31, 2024
Notes$$$$
Assets
Investments held for self-insured liabilities14195.7 — 195.7 — 
Derivative financial instruments14,2420.7 — 20.7 — 
Liabilities
Notes payable16116.8 — — 116.8 
At December 31, 2023
Assets
Investments held for self-insured liabilities14204.5 — 204.5 — 
Derivative financial instruments14,2420.0 — 20.0 — 
Liabilities
Notes payable16,6.c52.0 — — 52.0 
The following tables summarize the Company’s fair value hierarchy for those liabilities that were not measured at fair value but are required to be disclosed at fair value on a recurring basis:
Carrying
Amount
Level 1Level 2Level 3
At December 31, 2024
Note$$$$
Senior unsecured notes16548.1 — 548.2 — 
At December 31, 2023
Senior unsecured notes16547.6 — 523.2 —