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Short-Term Borrowings and Long-Term Debt (Tables)
12 Months Ended
Jul. 31, 2024
Debt Disclosure [Abstract]  
Schedule of Short-term Borrowings
Short-term borrowings were as follows (in millions):
European Commercial Paper ProgramU.S. Credit FacilitiesEuropean Operations Credit FacilitiesRest of the World Credit FacilitiesTotal
Year Ended July 31,
2024202320242023202420232024202320242023
Available credit facilities$108.3 $110.3 $100.0 $100.0 $48.4 $45.0 $46.7 $50.8 $303.4 $306.1 
Reductions to borrowing capacity:
Outstanding borrowings 22.8 24.3 0.2 9.8 — — 5.3 — 28.3 34.1 
Other non-borrowing reductions— — — — 38.9 28.8 25.7 18.8 64.6 47.6 
Total reductions22.8 24.3 0.2 9.8 38.9 28.8 31.0 18.8 92.9 81.7 
Remaining borrowing capacity$85.5 $86.0 $99.8 $90.2 $9.5 $16.2 $15.7 $32.0 $210.5 $224.4 
Weighted average interest rate as of July 31, 2024 and 2023
4.34 %4.09 %6.44 %6.17 %N/AN/A0.56 %N/A3.62 %4.69 %
Schedule of Long-term Debt
Long-term debt was as follows:
Interest RateOutstanding Balance
(in millions)
Financial InstrumentFixed or VariableAmountMaturity DateJuly 31, 2024July 31, 2023July 31, 2024July 31, 2023
Unsecured senior notesFixed
$125.0 million
March 27, 20243.72 %3.72 %$— $125.0 
Unsecured senior notesFixed
$125.0 million
June 17, 20303.18 %3.18 %125.0 125.0 
Unsecured senior notes
Fixed
$100.0 million
August 5, 20312.50 %2.50 %100.0 100.0 
Unsecured revolving credit facilityVariable
$500.0 million
May 21, 20266.44 %5.09 %110.0 96.2 
Unsecured term loanVariable
 €80.0 million
March 26, 20294.69 %4.41 %86.6 88.2 
Unsecured senior notes
Fixed
$50.0 million
November 5, 20282.12 %2.12 %50.0 50.0 
Unsecured senior notesFixed
$25.0 million
April 16, 20252.93 %2.93 %25.0 25.0 
Unsecured term loanVariable¥1.0  billionJuly 31, 20280.76 %0.57 %6.7 7.0 
Unsecured term loanVariable¥1.0  billionJuly 15, 20260.68 %0.49 %6.7 7.0 
Debt issuance costs, net(1.6)(1.8)
Subtotal508.4 621.6 
Less current maturities(25.0)(125.0)
Total long-term debt$483.4 $496.6 
Schedule of Maturities of Long-term Debt
Future maturities of the Company’s long-term debt as of July 31, 2024 were as follows (in millions):
2025$25.0 
2026116.7 
2027— 
20286.7 
2029136.6 
Thereafter225.0 
Total future maturities payments510.0 
Less debt issuance costs, net(1.6)
Total future maturities payments, net of debt issuance costs$508.4