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Debt (Tables)
6 Months Ended
Mar. 29, 2020
Debt [Abstract]  
Schedule Of Debt

SBH

SB/RH

March 29, 2020

September 30, 2019

March 29, 2020

September 30, 2019

(in millions)

Amount

Rate

Amount

Rate

Amount

Rate

Amount

Rate

Spectrum Brands Inc.

Revolver Facility, variable rate, expiring March 6, 2022

$

780.0

3.3

%

$

%

$

780.0

3.3

%

$

%

6.625% Notes, due November 15, 2022

%

117.4 

6.6 

%

%

117.4 

6.6 

%

6.125% Notes, due December 15, 2024

250.0

6.1 

%

250.0 

6.1 

%

250.0

6.1 

%

250.0 

6.1 

%

5.00% Notes, due October 1, 2029

300.0

5.0 

%

300.0 

5.0 

%

300.0

5.0 

%

300.0 

5.0 

%

5.75% Notes, due July 15, 2025

1,000.0

5.8 

%

1,000.0 

5.8 

%

1,000.0

5.8 

%

1,000.0 

5.8 

%

4.00% Notes, due October 1, 2026

468.9

4.0 

%

465.0 

4.0 

%

468.9

4.0 

%

465.0 

4.0 

%

Other notes and obligations

3.3

10.4 

%

9.5 

10.4 

%

3.3

10.4 

%

9.5 

10.4 

%

Obligations under capital leases

163.0

5.6 

%

165.6 

5.6 

%

163.0

5.6 

%

165.6 

5.6 

%

Total Spectrum Brands, Inc. debt

2,965.2

2,307.5 

2,965.2

2,307.5 

Spectrum Brands Holdings, Inc.

Salus - unaffiliated long-term debt of consolidated VIE

77.0

%

77.0 

%

%

%

Total SBH debt

3,042.2

2,384.5 

2,965.2

2,307.5 

Unamortized discount on debt

(0.1)

(0.2)

Debt issuance costs

(29.7)

(33.0)

(28.8)

(31.5)

Less current portion

(13.3)

(136.9)

(13.3)

(136.9)

Long-term debt, net of current portion

$

2,999.1

$

2,214.4 

$

2,923.1

$

2,139.1