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Debt (Tables)
6 Months Ended
Jun. 30, 2024
Debt Disclosure [Abstract]  
Schedule of Long-Term Debt Instruments
June 30, 2024December 31, 2023
Interest Rate at
June 30, 2024
PrincipalUnamortized Debt CostsTotalPrincipalUnamortized Debt CostsTotal
Term Revolving Facility under Term loan Credit Agreement maturing 2029, fixed interest rate9.1%$150.0 $(2.5)$147.5 $150.0 $(2.8)$147.2 
Term Revolving Facility under Term Loan Credit Agreement maturing 2029, variable interest rate9.1%$120.0 $— $120.0 $— $— $— 
Farm Credit Term Loan Facility under Term Loan Credit Agreement maturing 2031, variable interest rate9.1%394.8 (2.7)392.1 — — — 
Commercial Bank Term Loan Facility under Term Loan Credit Agreement, maturing 2029, variable interest rate8.6%88.8 (0.6)88.2 — — — 
2020 Notes, maturing 2028, fixed interest rate4.8%275.0 (2.1)272.9 275.0 (2.4)272.6 
Revolving loan facility under ABL Credit Agreement, maturing 2027, variable interest rate6.9%90.0 — 90.0 20.0 — 20.0 
Finance leases32.2 — 32.2 23.3 — 23.3 
Total debt1,150.9 (7.8)1,143.0 468.3 (5.1)463.1 
Less: current portion(5.6)0.5 (5.2)(0.8)— (0.8)
Net long-term portion$1,145.2 $(7.4)$1,137.9 $467.4 $(5.1)$462.3 
Schedule of Carrying Values and Estimated Fair Values of Debt Instruments
The fair value of our debt is included in the following table:
June 30, 2024December 31, 2023
Farm Credit Term Loan Facility under Term Credit agreement, maturing 2031, variable interest rate$400.0 $— 
2020 Notes, maturing 2028, fixed interest rate255.1 255.1 
Term Revolver Facility under Term Credit Agreement, maturing 2029, fixed interest rate150.0 150.6 
Term Revolver Facility under Term Credit Agreement, maturing 2029, variable interest rate120.0 — 
Commercial Bank Term Loan Facility under Term Credit Agreement, maturing 2029, variable interest rate90.0 — 
Revolving loan facility under ABL Credit Agreement, maturing 2027, variable interest rate90.0 20.0 
$1,105.1 $425.7