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Debt (Tables)
6 Months Ended
Jun. 30, 2025
Debt Disclosure [Abstract]  
Schedule of Debt The following table summarizes the Company’s Debt:
December 31,
2024
June 30,
2025
Senior bank debt
$
$
Senior notes
1,092.1
1,092.8
Junior subordinated notes
1,189.0
1,189.2
Junior convertible securities
339.1
339.2
Debt
$2,620.2
$2,621.2
Schedule of Principal Terms of Senior and Junior Subordinated Notes The principal terms of the senior notes
outstanding as of June 30, 2025 are presented and described below:
2025
Senior Notes
2030
Senior Notes
2034
Senior Notes
Issue date
February 2015
June 2020
August 2024
Maturity date
August 2025
June 2030
August 2034
Par value (in millions)
$350.0
$350.0
$400.0
Stated coupon
3.50%
3.30%
5.50%
Coupon frequency
Semi-annually
Semi-annually
Semi-annually
Call price
As defined
As defined
As defined
As of June 30, 2025, the Company had junior subordinated notes outstanding, the respective principal terms of which are
presented and described below:
2059
Junior Subordinated
Notes
2060
Junior Subordinated
Notes
2061
Junior Subordinated
Notes
2064
Junior Subordinated
Notes
Issue date
March 2019
September 2020
July 2021
March 2024
Maturity date
March 2059
September 2060
September 2061
March 2064
Par value (in millions)
$300.0
$275.0
$200.0
$450.0
Stated coupon
5.875%
4.75%
4.20%
6.75%
Coupon frequency
Quarterly
Quarterly
Quarterly
Quarterly
Call price
As defined
As defined
As defined
As defined
NYSE Symbol
MGR
MGRB
MGRD
MGRE
Schedule of Convertible Securities The following table presents interest expense recorded in connection with the junior convertible securities:
For the Three Months Ended
June 30,
For the Six Months Ended
June 30,
2024
2025
2024
2025
Contractual interest expense
$4.4
$4.4
$8.8
$8.8
Amortization of debt issuance costs
0.1
0.1
0.1
0.1
Total
$4.5
$4.5
$8.9
$8.9
Effective interest rate
5.21%
5.21%
5.21%
5.21%