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Debt (Tables)
12 Months Ended
Dec. 31, 2023
Debt Disclosure [Abstract]  
Schedule of Line of Credit Facilities
Additional details for the Company's Credit Facilities, Term Loan and international credit facilities are summarized in total below:

(in millions, except maturity dates and interest rates)December 31, 2023December 31, 2022
Credit Facilities
Line of credit - maximum$250.0 $250.0 
Letters of credit - maximum30.0 30.0 
Borrowings outstanding72.0 78.0 
Amount of letters of credit outstanding3.3 2.8 
Line of credit, additional borrowing capacity174.7 169.2 
Term Loan
Current maturities$0.1 $0.2 
Long-term maturities— 0.1 
Interest rate10.37 %10.37 %
Maturity dateApril 15, 2024April 15, 2024
International Credit Facilities and Short-Term Debt
Total credit line$21.7 $15.3 
Available credit line9.9 5.7 
Letters of credit - maximum9.7 7.0 
Amount of letters of credit outstanding2.7 0.7 
Short-term debt11.0 9.4 
Weighted average interest rate
11.35%
10.51%
Debt Instrument Redemption
Debt maturities for the Company's long-term debt are expected to be as follows (in millions):

2024$0.1
2025
2026
202772.0