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Debt (Tables)
12 Months Ended
Dec. 31, 2022
Debt Disclosure [Abstract]  
Schedule of Debt
Debt consists of the following:
December 31
20222021
Interest RatesMaturities(in millions of dollars)
Outstanding Principal
   Senior Notes issued 19986.750 - 7.250%2028$335.8 $335.8 
   Senior Notes issued 20027.375%203239.5 39.5 
   Senior Notes issued 2012 and 20165.750%2042500.0 500.0 
   Senior Notes issued 20144.000%2024— 350.0 
   Senior Notes issued 20153.875%2025275.0 275.0 
   Senior Notes issued 20194.000%2029400.0 400.0 
   Senior Notes issued 20194.500%2049450.0 450.0 
   Senior Notes issued 20214.125%2051600.0 600.0 
   Medium-term Notes issued 1990 - 19967.000 - 7.190%
2023 - 2028
18.5 20.5 
   Junior Subordinated Debt Securities issued 19987.405%2038189.7 203.7 
   Junior Subordinated Debt Securities issued 20186.250%2058300.0 300.0 
Term Loan issued 2022Variable2027350.0 — 
Less:
Unamortized Net Premium2.5 2.3 
Unamortized Debt Issuance Costs(33.2)(34.6)
Total Long-term Debt $3,427.8 $3,442.2 
Short-term Debt
Medium-term Notes Issued 19907.000%20232.0 — 
Total Debt$3,429.8 $3,442.2