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Long-Term Debt - Amended and Restated Credit Agreement (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 12, 2025
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
May 16, 2025
Aug. 28, 2024
Aug. 08, 2024
Jun. 30, 2024
May 16, 2023
Mar. 31, 2023
Revolving Credit Facility, May 2028                    
Line of Credit Facility                    
Interest Rate, Credit Spread adjustment 0.10%                  
Decrease in basis spread on variable rate, 0.25%                  
Threshold utilization percentage of commitment fee 50.00%                  
Maximum borrowing capacity         $ 1,500.0   $ 1,100.0      
Transaction costs   $ 1.9                
Revolving Credit Facility, May 2028 | Upon Utilization Of Credit Facility More than Or Equal To 50%                    
Line of Credit Facility                    
Percentage of decrease in commitment fee payable 0.375%                  
Revolving Credit Facility, May 2028 | Upon Utilization Of Credit Facility Less than 50%                    
Line of Credit Facility                    
Percentage of decrease in commitment fee payable 0.25%                  
Credits Facility, Amended and Restated                    
Line of Credit Facility                    
Maximum borrowing capacity           $ 1.1   $ 750.0    
Cash dominion trigger threshold amount           110.0   75.0    
Letter of credit outstanding   $ 3.0                
Debt instrument, variable rate (percentage)   2.00%                
Debt instrument weighted average interest rate (percent)   5.80% 6.80%              
Commitment fee amount   $ 1.9 $ 2.1 $ 1.7            
Credits Facility, Amended and Restated | Federal Funds Rate                    
Line of Credit Facility                    
Debt instrument, interest margin added to variable rate   0.50%                
Credits Facility, Amended and Restated | SOFR                    
Line of Credit Facility                    
Debt instrument, interest margin added to variable rate   1.00%                
Credits Facility, Amended and Restated | SOFR | Minimum                    
Line of Credit Facility                    
Debt instrument, variable rate (percentage)   1.75%                
Credits Facility, Amended and Restated | SOFR | Maximum                    
Line of Credit Facility                    
Debt instrument, variable rate (percentage)   2.50%                
Credits Facility, Amended and Restated | Base Rate | Minimum                    
Line of Credit Facility                    
Debt instrument, variable rate (percentage)   0.75%                
Credits Facility, Amended and Restated | Base Rate | Maximum                    
Line of Credit Facility                    
Debt instrument, variable rate (percentage)   1.50%                
Swing Line Loans, Credit Facility                    
Line of Credit Facility                    
Maximum borrowing capacity           110.0   $ 75.0 $ 75.0 $ 50.0
Amended and Restated Credit Agreement, May 16, 2025                    
Line of Credit Facility                    
Contingent increase in borrowing capacity         $ 2,300.0          
Amended and Restated Credit Agreement, August 28, 2024                    
Line of Credit Facility                    
transaction costs           $ 2.6        
Amended and Restated Credit Agreement, May 16, 2023                    
Line of Credit Facility                    
Debt issuance cost written off       $ 1.0            
transaction costs                 $ 6.0