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Stockholders' Equity (Tables)
12 Months Ended
Dec. 31, 2025
Equity [Abstract]  
Schedule of Cash Flow Hedges Included in Accumulated Other Comprehensive Income (Loss)
The change in accumulated other comprehensive income related to our interest rate derivatives, net of taxes, was as follows (in millions):
Years Ended December 31,
202520242023
Accumulated gain at beginning of period$35.0 $33.7 $40.6 
Unrealized (loss) in fair value of interest rate derivatives(14.0)(2.0)(10.2)
Reclassification of realized net losses to earnings1.1 3.3 3.3 
Accumulated gain at end of period $22.1 $35.0 $33.7 
Schedule of Dividends
During the year ended December 31, 2025, we declared and paid the following cash dividends (amount declared and amount paid in millions):
Declaration DateRecord DatePayment DateDividend Per ShareAmount DeclaredAmount Paid
2/27/20253/14/20253/31/2025$1.70 $47.1 $46.7 
2/27/20253/14/20253/31/20250.37 10.2 10.1 
5/8/20256/15/20256/30/20250.37 10.1 10.1 
8/7/20259/15/20259/30/20250.37 10.1 10.0 
10/30/202512/15/202512/31/20250.37 10.0 9.9 
During the year ended December 31, 2024, we declared and paid the following cash dividends (amount declared and amount paid in millions):

Declaration DateRecord DatePayment DateDividend Per ShareAmount DeclaredAmount Paid
2/22/20243/15/20243/31/2024$1.60 $45.5$45.1 
2/22/20243/15/20243/31/20240.35 10.09.8 
5/9/20246/15/20246/30/20240.35 9.89.8 
8/1/20249/15/20249/30/20240.35 9.89.8 
11/7/202412/15/202412/31/20240.35 9.89.7