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Debt - Additional information (Details)
€ in Thousands, $ in Thousands, $ in Thousands
12 Months Ended
Apr. 05, 2023
EUR (€)
installment
Dec. 31, 2023
USD ($)
drawdown
Dec. 31, 2023
EUR (€)
drawdown
Dec. 31, 2022
USD ($)
Dec. 31, 2023
EUR (€)
Dec. 31, 2023
CAD ($)
Dec. 31, 2022
EUR (€)
Dec. 31, 2022
CAD ($)
Dec. 31, 2021
USD ($)
Oct. 15, 2021
USD ($)
Aug. 26, 2021
USD ($)
Disclosure of financial liabilities [line items]                      
Derivative financial assets   $ 9,538   $ 0              
Borrowings   636,059   494,414              
At fair value                      
Disclosure of financial liabilities [line items]                      
Derivative financial assets   5,635   3,676              
Commence on June 30, 2026                      
Disclosure of financial liabilities [line items]                      
Number of semi-annual installments | installment 14                    
Commence on December 31, 2026                      
Disclosure of financial liabilities [line items]                      
Number of semi-annual installments | installment 13                    
Term Facility                      
Disclosure of financial liabilities [line items]                      
Borrowings, maximum capacity | € € 680,400                    
Proceeds from borrowings, classified as financing activities   95,893 € 86,781                
Borrowings   143,368   0              
Term Facility | Borrowings, Drawdowns, Tranche One                      
Disclosure of financial liabilities [line items]                      
Proceeds from borrowings, classified as financing activities   $ 166,738 € 153,236                
Term Facility | Borrowings, Drawdowns, Tranche Two                      
Disclosure of financial liabilities [line items]                      
Number of drawdowns | drawdown   4 4                
Greek Recovery and Resilience Facility (RRF)                      
Disclosure of financial liabilities [line items]                      
Borrowings, maximum capacity | € 200,000                    
Proceeds from borrowings, classified as financing activities   $ 52,136                  
Borrowings   39,209   0              
Greek Recovery and Resilience Facility (RRF) | Borrowings, Drawdowns, Tranche Three                      
Disclosure of financial liabilities [line items]                      
Proceeds from borrowings, classified as financing activities   $ 52,136 € 47,914                
Initial Greek Recovery and Resilience Facility (RFF)                      
Disclosure of financial liabilities [line items]                      
Borrowings, maximum capacity | € € 100,000                    
Initial Greek Recovery and Resilience Facility (RFF) | Fixed interest rate                      
Disclosure of financial liabilities [line items]                      
Debt interest rate (as a percent) 3.04%                    
Additional Greek Recovery and Resilience Facility (RFF)                      
Disclosure of financial liabilities [line items]                      
Borrowings, maximum capacity | € € 100,000                    
Additional Greek Recovery and Resilience Facility (RFF) | Fixed interest rate                      
Disclosure of financial liabilities [line items]                      
Debt interest rate (as a percent) 4.06%                    
Revolving VAT facility                      
Disclosure of financial liabilities [line items]                      
Borrowings, maximum capacity | € € 30,000                    
Borrowing term   18 months 18 months                
Proceeds from borrowings, classified as financing activities   $ 14,588 € 13,464 0              
Repayment of term facility loan financing costs   11,328 10,505 0              
Borrowings   3,269   0              
Commercial Loans                      
Disclosure of financial liabilities [line items]                      
Borrowings, maximum capacity | € € 480,400                    
Borrowing term 6 months                    
Proceeds from borrowings, classified as financing activities   114,602                  
Borrowings   100,890   0              
Commercial Loans | Borrowings, Drawdowns, Tranche Two                      
Disclosure of financial liabilities [line items]                      
Proceeds from borrowings, classified as financing activities   114,602 € 105,322                
Commercial Loans | Floating interest rate                      
Disclosure of financial liabilities [line items]                      
Debt interest rate (as a percent) 70.00%                    
Contingent Overrun Facility                      
Disclosure of financial liabilities [line items]                      
Additional capital costs (in percent) 10.00%                    
Senior Secured Credit Facility                      
Disclosure of financial liabilities [line items]                      
Notional amount   $ 250               $ 250,000  
Additional borrowing capacity                   $ 100,000  
Borrowings undrawn standby fee (as a percent)   0.47813%     0.47813% 0.47813%          
Senior Secured Credit Facility | Secured overnight financing rate (SOFR) | Borrowings, one month duration                      
Disclosure of financial liabilities [line items]                      
Borrowings, interest rate adjustment (as a percent)   0.10%     0.10% 0.10%       0.10%  
Senior Secured Credit Facility | Secured overnight financing rate (SOFR) | Borrowings, three months duration                      
Disclosure of financial liabilities [line items]                      
Borrowings, interest rate adjustment (as a percent)   0.15%     0.15% 0.15%       0.15%  
Senior Secured Credit Facility | Secured overnight financing rate (SOFR) | Borrowings, six month duration                      
Disclosure of financial liabilities [line items]                      
Borrowings, interest rate adjustment (as a percent)   0.25%     0.25% 0.25%       0.25%  
Senior Secured Credit Facility | Floating interest rate                      
Disclosure of financial liabilities [line items]                      
Borrowings, interest rate adjustment (as a percent)   2.125%     2.125% 2.125%          
Senior Secured Credit Facility | Third Amended and Restated Credit Agreement                      
Disclosure of financial liabilities [line items]                      
Notional amount                   $ 450,000  
Senior Secured Credit Facility | Bottom of range                      
Disclosure of financial liabilities [line items]                      
Borrowings undrawn standby fee (as a percent)                   0.47813%  
Senior Secured Credit Facility | Bottom of range | Floating interest rate                      
Disclosure of financial liabilities [line items]                      
Borrowings, interest rate adjustment (as a percent)                   2.125%  
Senior Secured Credit Facility | Top of range                      
Disclosure of financial liabilities [line items]                      
Borrowings undrawn standby fee (as a percent)                   0.73125%  
Senior Secured Credit Facility | Top of range | Floating interest rate                      
Disclosure of financial liabilities [line items]                      
Borrowings, interest rate adjustment (as a percent)                   3.25%  
Senior Notes due 2029                      
Disclosure of financial liabilities [line items]                      
Notional amount                     $ 500,000
Debt interest rate (as a percent)                     6.25%
Increase in fair value of embedded derivative   $ (1,959)   4,429              
Borrowings   492,691   494,414         $ 489,763    
Senior Notes due 2029 | At fair value                      
Disclosure of financial liabilities [line items]                      
Derivative financial assets                     $ 4,806
Increase in fair value of embedded derivative   1,959                  
Borrowings   471,600                  
Senior Notes due 2029 | Prior to September 1, 2024                      
Disclosure of financial liabilities [line items]                      
Percentage of aggregate principal amount of borrowings (as a percent)                     100.00%
Premium percentage of principal amount of borrowings (as a percent)                     1.00%
Borrowings, additional basis points                     0.50%
Percentage of original principal amount of borrowings (as a percent)                     40.00%
Redemption percentage of aggregate principal amount of borrowings (as a percent)                     106.25%
Senior Notes due 2029 | September 1, 2024                      
Disclosure of financial liabilities [line items]                      
Redemption percentage of aggregate principal amount of borrowings (as a percent)                     103.125%
Senior Notes due 2029 | September 1, 2025                      
Disclosure of financial liabilities [line items]                      
Redemption percentage of aggregate principal amount of borrowings (as a percent)                     101.563%
Senior Notes due 2029 | After September 1, 2026                      
Disclosure of financial liabilities [line items]                      
Redemption percentage of aggregate principal amount of borrowings (as a percent)                     100.00%
Letters of Credit not Secured by Revolving Credit Facility | Bottom of range | Fixed interest rate                      
Disclosure of financial liabilities [line items]                      
Debt interest rate (as a percent)                   0.90%  
Letters of Credit not Secured by Revolving Credit Facility | Top of range | Fixed interest rate                      
Disclosure of financial liabilities [line items]                      
Debt interest rate (as a percent)                   1.33%  
Letter of Credit Secured by Revolving Credit Facility                      
Disclosure of financial liabilities [line items]                      
Borrowings   204,280   $ 62,664              
First Letter of Credit Secured by Revolving Credit Facility                      
Disclosure of financial liabilities [line items]                      
Borrowings, maximum capacity   $ 139,463     € 126,211            
Borrowings         € 126,211 $ 426   $ 426      
Borrowings undrawn standby fee (as a percent)   2.125%     2.125% 2.125%          
Borrowings, front fee (as a percent)   0.25%     0.25% 0.25%          
Second Letter of Credit Secured by Revolving Credit Facility                      
Disclosure of financial liabilities [line items]                      
Borrowings | €         € 58,216   € 58,216        
Borrowings, front fee (as a percent)   0.90%     0.90% 0.90%