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Fair Value Measurements - Assets and liabilities that were recognized at fair value on a recurring basis (Details) - USD ($)
$ in Millions
Mar. 31, 2023
Dec. 31, 2022
Mar. 31, 2022
Dec. 31, 2021
Liabilities        
Warrant liability $ 22.1 $ 21.0    
Recurring        
Assets        
Total 38.3 50.3    
Liabilities        
Warrant liability 22.1 21.0    
Total 22.2 21.4    
Recurring | Level 2        
Assets        
Total 38.3 50.3    
Liabilities        
Total 0.1 0.4    
Recurring | Level 3        
Liabilities        
Warrant liability 22.1 21.0 $ 127.4 $ 227.8
Total 22.1 21.0    
Foreign exchange forward        
Assets        
Interest rate swap asset - non-current 3.7 0.8    
Foreign exchange forward | Recurring        
Assets        
Forward currency contracts asset - current 3.7 0.8    
Liabilities        
Forward currency contracts liability - current 0.1 0.4    
Foreign exchange forward | Recurring | Level 2        
Assets        
Forward currency contracts asset - current 3.7 0.8    
Liabilities        
Forward currency contracts liability - current 0.1 0.4    
Interest rate swap asset        
Assets        
Interest rate swap asset - non-current 34.6 49.5    
Interest rate swap asset | Recurring        
Assets        
Interest rate swap asset - current 16.1 2.3    
Interest rate swap asset - non-current 18.5 47.2    
Interest rate swap asset | Recurring | Level 2        
Assets        
Interest rate swap asset - current 16.1 2.3    
Interest rate swap asset - non-current $ 18.5 $ 47.2