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Credit Facility (Tables)
12 Months Ended
Oct. 31, 2021
Debt Disclosure [Abstract]  
Schedule of Credit Facility Information
Credit Facility Information
(in millions)October 31, 2021October 31, 2020
Current portion of long-term debt
Gross term loan$32.5 $120.0 
Unamortized deferred financing costs(1.1)(3.3)
Current portion of term loan$31.4 $116.7 
Long-term debt
Gross term loan$601.3 $560.0 
Unamortized deferred financing costs(3.5)(2.3)
Total noncurrent portion of term loan597.8 557.7 
Revolving line of credit(1)(2)
255.0 45.3 
Long-term debt$852.8 $603.0 
(1) Standby letters of credit amounted to $167.7 million at October 31, 2021.
(2) At October 31, 2021, we had borrowing capacity of $875.0 million.
Schedule of Term Loan Maturities As of October 31, 2021, the following principal payments are required under the term loan.
(in millions)20222023202420252026
Debt maturities$32.5 $32.5 $32.5 $32.5 $503.8 
Schedule of Interest Rate Information
Notional AmountFixed Interest RateEffective DateMaturity Date
$ 130.0 million2.86%November 1, 2018April 30, 2022
$ 130.0 million2.84%November 1, 2018September 1, 2022