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LONG-TERM DEBT - Additional Information (Details)
€ in Millions, £ in Millions
1 Months Ended 3 Months Ended 11 Months Ended 12 Months Ended
Oct. 10, 2025
USD ($)
Oct. 08, 2025
USD ($)
Sep. 30, 2025
EUR (€)
Feb. 27, 2024
EUR (€)
Oct. 01, 2021
USD ($)
Aug. 20, 2021
USD ($)
Feb. 07, 2025
USD ($)
Dec. 31, 2025
USD ($)
Dec. 31, 2025
USD ($)
Dec. 31, 2025
USD ($)
Dec. 31, 2024
USD ($)
Dec. 31, 2025
EUR (€)
Dec. 31, 2025
GBP (£)
Oct. 03, 2025
EUR (€)
Sep. 18, 2025
USD ($)
Debt Instrument [Line Items]                              
Principal amount               $ 1,100,000,000 $ 1,100,000,000 $ 1,100,000,000          
Loss on extinguishment of debt             $ 0   (93,120,000)   $ 0        
Basis spread on variable rate     4.50%                        
Less: Unamortized fair value adjustment               443,110,000 443,110,000 443,110,000 $ 0        
Intralot Transaction                              
Debt Instrument [Line Items]                              
Principal amount               1,970,000,000 1,970,000,000 1,970,000,000          
Debt instrument, fair value disclosure               1,980,000,000 1,980,000,000 1,980,000,000          
Less: Unamortized fair value adjustment               7,800,000 7,800,000 7,800,000          
Recognized in interest expense                   $ 400,000          
Floor Rate                              
Debt Instrument [Line Items]                              
Basis spread on variable rate     0.00%                        
11.00% Senior Notes Due 2028 | 11.00% Senior Secured Notes due 2028                              
Debt Instrument [Line Items]                              
Principal amount   $ 500,000,000.0         $ 500,000,000.0                
Interest rate             11.00%                
Debt instrument, mandatory redemption   105,400,000                          
Debt instrument, optional redemption   394,600,000                          
Debt instrument, increase, accrued interest   $ 540,400,000                          
Loss on extinguishment of debt               $ 57,400,000              
Senior Notes Due 2028 | 11.00% Senior Secured Notes due 2028                              
Debt Instrument [Line Items]                              
Loss on extinguishment of debt                 $ 17,400,000            
Senior Notes Due 2029 | 11.00% Senior Secured Notes due 2028                              
Debt Instrument [Line Items]                              
Redemption price percentage           100.00%                  
Senior Notes Due 2029 | 11.00% Senior Secured Notes due 2028 | Subsidiaries                              
Debt Instrument [Line Items]                              
Principal amount           $ 750,000,000.0                  
Interest rate           5.625%                  
Senior Notes Due 2031 | 11.00% Senior Secured Notes due 2028 | Subsidiaries                              
Debt Instrument [Line Items]                              
Principal amount           $ 750,000,000.0                  
Interest rate           5.875%                  
New Credit Facilities | 11.00% Senior Secured Notes due 2028                              
Debt Instrument [Line Items]                              
Principal amount         $ 2,565,000,000                    
Maximum capacity on line of credit               30.00% 30.00% 30.00%   30.00% 30.00%    
New Credit Facilities | 11.00% Senior Secured Notes due 2028 | Federal funds effective swap rate                              
Debt Instrument [Line Items]                              
Basis spread on variable rate         0.50%                    
New Credit Facilities | 11.00% Senior Secured Notes due 2028 | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate                              
Debt Instrument [Line Items]                              
Basis spread on variable rate         1.00%                    
New Credit Facilities | Term Loan Facility                              
Debt Instrument [Line Items]                              
Principal amount $ 394,600,000       $ 1,945,000,000                    
Loss on extinguishment of debt 18,300,000                            
Debt instrument, interest rate floor         0.50%                    
Basis spread on variable rate         1.50%                    
Debt instrument, cash amount 401,500,000                            
Accrued interest settlement $ 6,900,000                            
New Credit Facilities | Revolving Credit Facility                              
Debt Instrument [Line Items]                              
Principal amount         $ 620,000,000.0                    
Debt instrument, interest rate floor         0.00%                    
Basis spread on variable rate         1.00%                    
Maximum capacity on line of credit         25.00%                    
New Credit Facilities | Revolving Credit Facility | Minimum                              
Debt Instrument [Line Items]                              
Commitment fee         0.50%                    
New Credit Facilities | Revolving Credit Facility | Maximum                              
Debt Instrument [Line Items]                              
Commitment fee         0.375%                    
New Credit Facilities | Line of credit                              
Debt Instrument [Line Items]                              
Commitment increase limit         $ 650,000,000.0                    
Commitment increase limit, EBITDA         100.00%                    
Intralot Greek Retail Bond                              
Debt Instrument [Line Items]                              
Principal amount | €       € 130.0               € 130.0      
Redemption price percentage       101.00%                      
Debt issuance costs | €       € 120.0                      
Average amount outstanding                   $ 152,700,000          
Percentage bearing fixed interest, percentage rate       6.00%                      
Debt instrument minimum redemption value | €       € 15.0                      
Aggregate principal outstanding redemption value | €       € 50.0                      
Intralot Capital | Intralot Greek Term Loan                              
Debt Instrument [Line Items]                              
Percentage bearing fixed interest, percentage rate                           7.00%  
Annual principal payment | €                       € 200.0   € 270.0  
Intralot Capital | Intralot British Term Loan                              
Debt Instrument [Line Items]                              
Principal amount                             $ 400,000,000.0
Percentage bearing fixed interest, percentage rate                             5.50%
Annual principal payment               $ 538,700,000 $ 538,700,000 $ 538,700,000     £ 400.0    
Intralot 6.75% Senior Secured Notes due 2031 | 11.00% Senior Secured Notes due 2028                              
Debt Instrument [Line Items]                              
Interest rate     6.75%         6.75% 6.75% 6.75%   6.75% 6.75%    
Repayments of lines of credit | €     € 600.0                        
Floating Rate Senior Notes due 2031 | 11.00% Senior Secured Notes due 2028                              
Debt Instrument [Line Items]                              
Interest rate               6.526% 6.526% 6.526%   6.526% 6.526%    
Repayments of lines of credit | €     € 300.0                        
Intralot Notes                              
Debt Instrument [Line Items]                              
Principal amount | €                       € 900.0      
Intralot Fixed Rate Notes                              
Debt Instrument [Line Items]                              
Interest rate     50.00%                        
Basis spread on variable rate     0.50%                        
Percentage of principal amount redeemed     1.00%                        
Intralot Fixed Rate Notes | Debt Instrument, Redemption, Period One                              
Debt Instrument [Line Items]                              
Proceeds from equity offerings     106.75%                        
Intralot Floating Rate Notes                              
Debt Instrument [Line Items]                              
Redemption price percentage     100.00%                        
Percentage of principal amount redeemed     40.00%                        
Intralot RCF Agreement                              
Debt Instrument [Line Items]                              
Principal amount | €                       € 190.0      
Interest rate               40.00% 40.00% 40.00%   40.00% 40.00%    
Remaining borrowing capacity | €                       € 0.5      
Intralot RCF Agreement | Line of credit                              
Debt Instrument [Line Items]                              
Unused capacity, commitment fee percentage                   30.00%          
Fronting fee percentage                   0.125%          
Borrowing capacity               $ 0 $ 0 $ 0          
Unused borrowing capacity, fee                   $ 190,000,000.0          
Covenant, leverage ratio               4.75 4.75 4.75   4.75 4.75    
Intralot RCF Agreement | Line of credit | Minimum                              
Debt Instrument [Line Items]                              
Future leverage-based adjustments, percentage                   4.75%          
Intralot RCF Agreement | Line of credit | Maximum                              
Debt Instrument [Line Items]                              
Percentage bearing fixed interest, percentage rate               4.50% 4.50% 4.50%   4.50% 4.50%    
Future leverage-based adjustments, percentage                   3.75%