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Debt (Tables)
6 Months Ended
Jun. 30, 2025
Debt Disclosure [Abstract]  
Schedule of Total Debt
Total debt, net of debt issuance costs, is summarized in the following table (in millions):
June 30,
2025
December 31, 2024
Revolving facility - U.S. dollar borrowings$235.0 $237.0 
Term loan A facility83.3 83.3 
Term loan B facility116.5 116.5 
Delayed draw term loan270.1 270.1 
8.000% Senior unsecured notes due October 1, 2029
400.0 400.0 
German loan agreement5.1 5.9 
Debt issuance costs(19.4)(23.5)
Total debt1,090.6 1,089.3 
Less: Current debt(2.9)(2.6)
Total long-term debt$1,087.7 $1,086.7 
Schedule of Expected Maturities for the Company's Debt Obligations
The following is the expected maturities for the Company's debt obligations as of June 30, 2025 (in millions):
2025$1.5 
20262.9 
2027589.1 
2028116.5 
2029400.0 
Thereafter— 
Total $1,110.0