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Borrowings (Tables)
9 Months Ended
Nov. 30, 2023
Debt Disclosure [Abstract]  
Borrowings
Borrowings consist of the following:
November 30, 2023February 28,
2023
CurrentLong-termTotalTotal
(in millions)
Short-term borrowings
Commercial paper$458.9 $1,165.3 
$458.9 $1,165.3 
Long-term debt
Term loan credit facilities$— $— $— $799.2 
Senior notes948.8 10,270.8 11,219.6 10,470.6 
Other8.5 11.5 20.0 26.2 
$957.3 $10,282.3 $11,239.6 $11,296.0 
As of November 30, 2023, information with respect to borrowings under the 2022 Credit Agreement is as follows:
Outstanding
borrowings
Interest
rate
SOFR
margin
Outstanding
letters of
credit
Remaining
borrowing
capacity (1)
(in millions)
2022 Credit Agreement
Revolving credit facility (2) (3)
$— — %— %$11.5 $1,779.0 
(1)Net of outstanding revolving credit facility borrowings and outstanding letters of credit under the 2022 Credit Agreement and outstanding borrowings under our commercial paper program of $459.5 million (excluding unamortized discount) (see “Commercial paper program” below).
(2)Contractual interest rate varies based on our debt rating (as defined in the agreement) and is a function of SOFR plus a margin and a credit spread adjustment, or the base rate plus a margin, or, in certain circumstances where SOFR cannot be adequately ascertained or available, an alternative benchmark rate plus a margin.
(3)We and/or CB International are the borrower under the $2,250.0 million revolving credit facility with a maturity date of April 14, 2027. Includes a sub-facility for letters of credit of up to $200.0 million.
Schedule of maturities of long-term debt
As of November 30, 2023, the required principal repayments under long-term debt obligations (excluding unamortized debt issuance costs and unamortized discounts of $56.6 million and $23.8 million, respectively) for the remaining three months of Fiscal 2024 and for each of the five succeeding fiscal years and thereafter are as follows:
(in millions)
Fiscal 2024$2.2 
Fiscal 2025957.5 
Fiscal 20261,404.9 
Fiscal 2027603.8 
Fiscal 20281,801.5 
Fiscal 2029500.0 
Thereafter6,050.1 
$11,320.0