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FINANCING ARRANGEMENTS (Tables)
9 Months Ended
Sep. 30, 2025
Debt Disclosure [Abstract]  
Schedule of Components of Debt
Debt consists of the following instruments:
As of September 30, 2025 (in millions)Principal AmountUnamortized discount and debt issuance costNet DebtWeighted average interest rate
Senior secured revolving credit facility due 2030$— $— $— — %
Senior secured term loan due 2029620.7 12.5 608.2 6.10 %
7.125% senior notes due 2030
725.0 6.5 718.5 7.125 %
6.250% senior notes due 2031
650.0 8.2 641.8 6.250 %
Other Debt3.4 — 3.4 
Total Debt1,999.1 27.2 1,971.9 
Less short-term and current portion of long-term debt0.5 — 0.5 
Total long-term debt, net of current portion$1,998.6 $27.2 $1,971.4 
As of December 31, 2024 (in millions)Principal AmountUnamortized discount and debt issuance costNet DebtWeighted average interest rate
Senior secured revolving credit facility due 2026$— $— $— — %
Senior secured term loan due 2029720.7 15.5 705.2 7.30 %
7.125% senior notes due 2030
725.0 7.5 717.5 7.125 %
6.250% senior notes due 2031
650.0 9.2 640.8 6.250 %
Other Debt3.5 — 3.5 
Total Debt2,099.2 32.2 2,067.0 
Less short-term and current portion of long-term debt7.7 — 7.7 
Total long-term debt, net of current portion$2,091.5 $32.2 $2,059.3