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Debt Debt Disclosures (Tables)
9 Months Ended
Sep. 30, 2020
Debt Instrument [Line Items]  
Schedule of Debt [Table Text Block]
September 30, 2020December 31, 2019
Interest Rate at
September 30, 2020
PrincipalUnamortized Debt CostsTotalPrincipalUnamortized Debt CostsTotal
Term loan maturing 2026,
variable interest rate
3.19%$199.3 $(3.0)$196.2 $300.0 $(5.1)$294.9 
2013 Notes, maturing 2023,
fixed interest rate
4.50%— — — 275.0 (1.5)273.5 
2014 Notes, maturing 2025,
fixed interest rate
5.37%300.0 (1.2)298.8 300.0 (1.5)298.5 
2020 Notes, maturing 2028,
fixed interest rate
4.75%275.0 (3.9)271.1 — — — 
ABL Credit Agreement,
variable interest rate
3.50%— — — 13.5 — 13.5 
Finance leases21.2 — 21.2 22.0 — 22.0 
Total debt795.4 (8.2)787.2 910.5 (8.1)902.4 
Less: current portion(1.7)— (1.7)(17.9)— (17.9)
Net long-term portion$793.7 $(8.2)$785.5 $892.6 $(8.1)$884.5