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LONG TERM DEBT & AVAILABLE FACILITIES - Schedule of Debt (Details) - USD ($)
$ in Millions
6 Months Ended
Jul. 18, 2024
Sep. 08, 2023
Jun. 30, 2024
Mar. 28, 2024
Dec. 31, 2023
Debt Instruments          
Carrying amount     $ 2,339.9   $ 2,344.6
Unamortized deferred financing fees     (41.3)   (46.1)
Total Debt, Less Unamortized Deferred Financing Fees, Current and Noncurrent     2,298.6   2,298.5
Less: current portion     (22.8)   (20.9)
Total long-term debt, net of unamortized deferred financing fees     2,275.8   2,277.6
Term Loan B          
Debt Instruments          
Less: current portion     $ (18.3)   (18.3)
2028 Term Loan B          
Debt Instruments          
Interest rate at end of period (as a percent)     8.109%    
Carrying amount     $ 725.4   728.9
Unamortized deferred financing fees     (10.5)   (11.8)
Total Debt, Less Unamortized Deferred Financing Fees, Current and Noncurrent     714.9   717.1
2026 Revolving Facility          
Debt Instruments          
Maximum borrowing amount     375.0    
Letters of credit, amount outstanding     29.0    
Funds available for borrowings     $ 93.5    
Percentage of Revolving Facility borrowing capacity covenant trigger     30.00%    
2026 Revolving Facility | Letter of Credit [Member]          
Debt Instruments          
Letters of credit, amount outstanding     $ 19.0    
Percentage of Revolving Facility borrowing capacity covenant trigger     3.50%    
Net leverage ratio     7.96    
Commitment fee (as a percent)     0.375%    
2029 Senior Notes          
Debt Instruments          
Interest rate     5.125%    
Carrying amount     $ 447.0   447.0
Unamortized deferred financing fees     (10.2)   (11.1)
Total Debt, Less Unamortized Deferred Financing Fees, Current and Noncurrent     $ 436.8   435.9
2025 Senior Notes          
Debt Instruments          
Interest rate     5.375%    
Carrying amount     $ 115.0   115.0
Unamortized deferred financing fees     (0.4)   (0.6)
Total Debt, Less Unamortized Deferred Financing Fees, Current and Noncurrent     $ 114.6   114.4
2028 Refinance Term Loans          
Debt Instruments          
Interest rate at end of period (as a percent)     13.806%    
Carrying amount     $ 1,043.8   1,046.5
Unamortized deferred financing fees     (20.2)   (22.6)
Total Debt, Less Unamortized Deferred Financing Fees, Current and Noncurrent     1,023.6   1,023.9
Funds available for borrowings     243.5    
Liquidity balance needed for Refinance Agreement   $ 100.0      
Liquidity balance     346.3    
Cash and cash equivalents     102.9    
Accounts Receivable Securitization Facility          
Debt Instruments          
Carrying amount     0.0   0.0
Unamortized deferred financing fees     0.0   0.0
Total Debt, Less Unamortized Deferred Financing Fees, Current and Noncurrent     0.0   0.0
Maximum borrowing amount     150.0 $ 150.0  
Funds available for borrowings     150.0    
(Gain) loss on extinguishment of long-term debt $ 0.6        
Other Indebtedness          
Debt Instruments          
Carrying amount     8.7   7.2
Total Debt, Less Unamortized Deferred Financing Fees, Current and Noncurrent     $ 8.7   $ 7.2
Accounts Receivable Securitization Facility 2024          
Debt Instruments          
Debt instrument extension term 1 year        
Remaining borrowing amount $ 75.0        
Call premium percentage 1.00%        
Accounts Receivable Securitization Facility 2024 | SOFR          
Debt Instruments          
Variable rate floor (as a percent) 1.00%        
Basis spread on variable rate 4.75%        
Accounts Receivable Securitization Facility 2024 | EURIBOR          
Debt Instruments          
Variable rate floor (as a percent) 1.00%        
Basis spread on variable rate 4.75%