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Long-Term Debt and Commitments, Long-Term Debt (Details)
$ in Millions
3 Months Ended 6 Months Ended
Apr. 29, 2022
USD ($)
Loan
Apr. 30, 2018
USD ($)
Loan
Feb. 14, 2017
USD ($)
Apr. 03, 2022
Loan
Sep. 27, 2020
Loan
Jul. 03, 2022
USD ($)
qtr
Offering
Jul. 04, 2021
USD ($)
Dec. 31, 2021
USD ($)
Jun. 30, 2020
USD ($)
Jun. 23, 2015
USD ($)
May 09, 2014
USD ($)
Long-Term Debt and Commitments [Abstract]                      
Long-term debt           $ 940.1   $ 937.0      
Repayment of long-term debt           0.5 $ 0.8        
Short-term debt           110.0 [1]   80.0 [2]      
Concept Pet [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Long-term debt assumed as part of acquisition $ 1.9                    
Sivomatic [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Long-term debt assumed as part of acquisition   $ 10.7                  
Credit Agreement [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Letters of credit excluded from financial covenant           $ 25.0          
Number of quarters to maintain net leverage ratio under financial covenant | qtr           4          
Credit Agreement [Member] | Maximum [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Net leverage ratio           3.50          
Term Facility [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Face amount                     $ 1,560.0
Long-term debt                   $ 1,378.0  
Term Loan Facility - Variable Tranche [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Long-term debt     $ 788.0     $ 541.1   539.2   1,078.0  
Decrease in basis spread on variable rate     (0.75%)                
Required annual amortization           1.00%          
Term Loan Facility - Variable Tranche [Member] | Minimum [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Interest rate           0.75%          
Term Loan Facility - Variable Tranche [Member] | LIBOR [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Basis spread on variable rate           2.25%          
Term Loan Facility - Fixed Tranche [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Long-term debt                   $ 300.0  
Revolving Facility [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Maximum borrowing capacity           $ 300.0         $ 200.0
Long-term debt           110.0          
Letters of credit outstanding           $ 10.4          
Revolving Facility [Member] | Maximum [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Decrease in basis spread if net leverage ratio is less than certain thresholds           (0.25%)          
Revolving Facility [Member] | LIBOR [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Basis spread on variable rate           1.625%          
Senior Notes due 2028 [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Face amount                 $ 400.0    
Long-term debt           $ 394.9   394.6      
Interest rate           5.00%          
Guarantee amount           $ 50.0          
Number of equity offerings where funds can be used to redeem percentage of aggregate principal amount | Offering           1          
Senior Notes due 2028 [Member] | Redemption of Notes for Cash Prior to July 1, 2023 [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Redemption price percentage           100.00%          
Senior Notes due 2028 [Member] | Redemption of Notes with Funds from One or More Equity Offerings Prior to July 1, 2023 [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Redemption price percentage           105.00%          
Percentage of aggregate principal amount that can be redeemed           40.00%          
Senior Notes due 2028 [Member] | Redemption of Notes if Company Experiences Change of Control [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Redemption price percentage           101.00%          
Austria and Slovakia Term Loans [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Number of term loans assumed | Loan 2                    
Netherlands Term Loans [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Number of term loans assumed | Loan   2                  
Number of term loans that matured | Loan       1 1            
Repayment of long-term debt           $ 0.2          
Japan Loan Facilities [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Long-term debt           2.2   $ 3.0      
Repayment of long-term debt           0.3          
Uncommitted Short-Term Bank Credit Lines [Member]                      
Long-Term Debt and Commitments [Abstract]                      
Maximum borrowing capacity           25.2          
Short-term debt           $ 0.0          
[1] Unaudited
[2] Condensed from audited financial statements