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DEBT (Tables)
3 Months Ended
Jan. 02, 2022
Debt Disclosure [Abstract]  
Schedule of Debt
Debt consists of the following:
January 2, 2022September 30, 2021
(in millions)AmountRateAmountRate
Spectrum Brands Inc.
Revolver Facility, variable rate, expiring June 30, 2025$465.0 3.4 %$— — %
Term Loan Facility, variable rate, due March 3, 2028397.0 2.5 %398.0 2.5 %
5.75% Notes, due July 15, 2025
450.0 5.8 %450.0 5.8 %
4.00% Notes, due October 1, 2026
482.2 4.0 %492.9 4.0 %
5.00% Notes, due October 1, 2029
300.0 5.0 %300.0 5.0 %
5.50% Notes, due July 15, 2030
300.0 5.5 %300.0 5.5 %
3.875% Notes, due March 15, 2031
500.0 3.9 %500.0 3.9 %
Obligations under finance leases100.0 5.1 %101.9 4.9 %
Total Spectrum Brands, Inc. debt2,994.2 2,542.8 
Unamortized discount on debt(0.9)(0.9)
Debt issuance costs(34.3)(35.6)
Less current portion(12.1)(12.0)
Long-term debt, net of current portion$2,946.9 $2,494.3