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Financing (Tables)
12 Months Ended
Dec. 31, 2022
Debt Disclosure [Abstract]  
Schedule of Carry Value of Debt
The Company had the following debt outstanding as of December 31:
($ in millions)20222021
Short-term borrowings:
India Credit Facility$— $1.5 
Other short-term borrowings and bank overdrafts4.6 2.2 
Total short-term borrowings$4.6 $3.7 
Long-term debt:
Two-Year Term Loans due 2023$— $600.0 
Three-Year Term Loans due 2024400.0 400.0 
Three-Year Term Loans due 2025600.0 — 
1.800% senior unsecured notes due 2026
500.0 500.0 
2.400% senior unsecured notes due 2028
500.0 500.0 
2.950% senior unsecured notes due 2031
600.0 600.0 
Revolving Credit Facility due 2026— — 
Total long-term debt2,600.0 2,600.0 
Less: discounts and debt issuance costs(14.3)(16.2)
Total long-term debt, net$2,585.7 $2,583.8 
Schedule of Maturities of Long-term Debt
As of December 31, 2022, the contractual maturities of the Company’s long-term debt were as follows:
($ in millions)
2023$— 
2024400.0 
2025600.0 
2026500.0 
2027— 
Thereafter1,100.0 
Total principal payments$2,600.0