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Long-Term Debt - Narrative (Details)
2 Months Ended 12 Months Ended
Oct. 18, 2023
USD ($)
Mar. 09, 2023
MXN ($)
Dec. 31, 2023
USD ($)
Dec. 31, 2023
MXN ($)
Dec. 31, 2022
USD ($)
Dec. 13, 2021
USD ($)
Aug. 26, 2020
USD ($)
May 30, 2017
USD ($)
Debt Instrument [Line Items]                
Long-term line of credit     $ 568,000,000          
Line of Credit                
Debt Instrument [Line Items]                
Letters of credit outstanding, amount     2,800,000          
Remaining borrowing capacity     $ 69,200,000          
Commitment fee percentage     0.325%          
Interest rate at period end     7.96% 7.96%        
Repayments of debt     $ 229,000,000          
Line of Credit | Revolving Unsecured Uncommitted Credit Facility due 2023 [Member]                
Debt Instrument [Line Items]                
Maximum borrowing capacity   $ 600,000,000   $ 600,000,000        
Long-term line of credit   $ 0   0        
Remaining borrowing capacity     35,500,000 $ 600,000,000        
Line of Credit | Revolving Unsecured Credit Facility due 2024                
Debt Instrument [Line Items]                
Maximum borrowing capacity     590,000,000          
Line of Credit | Revolving Unsecured Credit Facility due 2027                
Debt Instrument [Line Items]                
Maximum borrowing capacity $ 640,000,000   $ 590,000,000          
Line of Credit Facility, Increase (Decrease), Net $ 50,000,000              
Line of Credit | Prime Rate                
Debt Instrument [Line Items]                
Basis spread on variable rate     1.50%          
Line of Credit | Mexican Central Bank Interbank Equilibrium Rate (TIIE) [Member] | Revolving Unsecured Uncommitted Credit Facility due 2023 [Member]                
Debt Instrument [Line Items]                
Basis spread on variable rate   2.50% 2.25%          
Line of Credit | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate                
Debt Instrument [Line Items]                
Basis spread on variable rate     2.50%          
Debt Instrument, Basis Spread on Variable Rate, Adjustment     0.10%          
Senior Notes | 4.625% Senior Unsecured Notes due 2028 [Member]                
Debt Instrument [Line Items]                
Interest rate     4.625% 4.625%     4.625%  
Face Amount             $ 500,000,000  
Total debt ratio threshold     2.75 2.75        
Debt Issuance Costs, Net     $ 5,500,000   $ 6,500,000      
Senior Notes | Senior notes 2024                
Debt Instrument [Line Items]                
Interest rate               5.375%
Face Amount               $ 300,000,000
Senior Notes | 5.625% Senior Unsecured Notes due 2030                
Debt Instrument [Line Items]                
Interest rate     5.625% 5.625%   5.625%    
Face Amount           $ 550,000,000    
Total debt ratio threshold     3.0 3.0        
Redemption price     100.00%          
Redemption price (up to)     40.00%          
Debt Issuance Costs, Net     $ 6,900,000   $ 7,800,000      
Debt Covenant, Total Debt Ratio     2.7 2.7        
Minimum | Line of Credit | Revolving Unsecured Credit Facility due 2027                
Debt Instrument [Line Items]                
Interest rate     0.00% 0.00%