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Debt (Tables)
12 Months Ended
Dec. 31, 2025
Debt Disclosure [Abstract]  
Schedule of Debt The Company's debt as of December 31, 2025 and 2024 consisted of the financing arrangements described below.
December 31, 2025
December 31, 2024
In millions
Principal
balance
Unamortized
original issue
discount
Unamortized
deferred
financing
costs
Carrying
value
Principal
balance
Unamortized
original issue
discount
Unamortized
deferred
financing
costs
Carrying
value
2029 Term Loan Facility
$729.5
$(8.8)
$(5.6)
$715.1
$850.0
$(12.2)
$(7.7)
$830.1
2031 Notes
223.7
(4.4)
(2.5)
216.8
223.7
(5.0)
(2.8)
215.9
2027 Notes
24.1
(1.8)
22.3
38.1
(4.2)
(0.1)
33.8
Total debt
$977.3
$(15.0)
$(8.1)
$954.2
$1,111.8
$(21.4)
$(10.6)
$1,079.8
Less: Current portion of
long-term debt
$(69.3)
$
$
$(69.3)
$(74.3)
$
$
$(74.3)
Non-current portion of
long-term debt
$908.0
$(15.0)
$(8.1)
$884.9
$1,037.5
$(21.4)
$(10.6)
$1,005.5
Schedule of Future Debt Obligation Payments Future debt obligation payments for the year ended December 31, are as follows:
In millions
Principal payments
2026
$69.3
2027
93.5
2028
69.3
2029
521.5
2030 and thereafter
223.7
Total future debt obligations
$977.3