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BORROWINGS OF LONG-TERM AND OTHER DEBT - Schedule of Long Term Debt and Other Debt (Details) - USD ($)
$ in Millions
Sep. 30, 2025
Jun. 30, 2025
Dec. 31, 2024
Jan. 31, 2024
Sep. 30, 2020
Long-term and other debt:          
Total long-term and other debt $ 1,105.0   $ 999.0    
Debt issued by consolidated VIEs:          
Debt issued by consolidated VIEs 400.0   1,100.0    
Total debt issued by consolidated VIEs 2,682.0   4,558.0    
Total borrowings of long-term and other debt 3,787.0   5,557.0    
Long-term and other debt          
Long-term and other debt:          
Long-term and other debt 1,119.0   1,010.0    
Less: Unamortized debt issuance costs 14.0   11.0    
Total long-term and other debt 1,105.0   999.0    
Convertible Debt          
Long-term and other debt:          
Long-term and other debt $ 0.1   10.0    
Debt issued by consolidated VIEs:          
Interest Rates 4.25%        
Senior notes due 2026 | Senior Notes          
Long-term and other debt:          
Long-term and other debt $ 0.0   100.0    
Debt issued by consolidated VIEs:          
Interest Rates 7.00%       7.00%
Senior notes due 2029 | Senior Notes          
Long-term and other debt:          
Long-term and other debt $ 719.0   900.0    
Debt issued by consolidated VIEs:          
Interest Rates 9.75% 9.75%   9.75%  
Subordinated notes due 2035 | Subordinated Debt          
Long-term and other debt:          
Long-term and other debt $ 400.0   0.0    
Debt issued by consolidated VIEs:          
Interest Rates 8.38%        
Debt issued by consolidated VIEs          
Debt issued by consolidated VIEs:          
Debt issued by consolidated VIEs $ 2,685.0   4,563.0    
Less: Unamortized debt issuance costs 3.0   5.0    
Total debt issued by consolidated VIEs 2,682.0   4,558.0    
Fixed rate asset-backed term note securities          
Debt issued by consolidated VIEs:          
Debt issued by consolidated VIEs $ 1,350.0   1,350.0    
Fixed rate asset-backed term note securities | Minimum          
Debt issued by consolidated VIEs:          
Interest Rates 4.62%        
Fixed rate asset-backed term note securities | Maximum          
Debt issued by consolidated VIEs:          
Interest Rates 5.47%        
Conduit asset-backed securities          
Debt issued by consolidated VIEs:          
Debt issued by consolidated VIEs $ 1,335.0   $ 3,213.0    
Weighted average interest rate 5.22%   5.54%    
Conduit asset-backed securities | Minimum          
Debt issued by consolidated VIEs:          
Interest Rates 5.22%   5.48%    
Conduit asset-backed securities | Maximum          
Debt issued by consolidated VIEs:          
Interest Rates 5.23%   5.60%    
Revolving Credit Facility | Revolving line of credit | Line of Credit          
Long-term and other debt:          
Long-term and other debt $ 0.0   $ 0.0