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Debt (Tables)
3 Months Ended
Mar. 31, 2022
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments
Debt consisted of the following:

(In millions, except %)December 31, 2021March 31, 2022
Debt InstrumentMaturity Date
Interest Rate(1)
Amount
Interest Rate(1)
Amount
Term Loan FacilityFebruary 15, 20283.50%$2,282.8 3.50%$2,277.0 
Revolving Credit FacilityAugust 7, 2025—%— —%— 
3.50% Senior Secured Notes
February 15, 20283.50%550.0 3.50%550.0 
5.375% Senior Notes
December 1, 20285.375%550.0 5.375%550.0 
Less: unamortized debt issuance costs(36.3)(34.9)
Less: unamortized debt discount(12.6)(12.1)
Total debt3,333.9 3,330.0 
Less: current portion of debt(23.0)(23.0)
Debt, excluding current portion$3,310.9 $3,307.0 
(1)    Interest rates are as of each respective balance sheet date.