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DEBT - Narrative (Details)
€ in Millions
12 Months Ended
Oct. 12, 2023
USD ($)
Aug. 15, 2023
MXN ($)
Jun. 21, 2023
Apr. 19, 2023
USD ($)
Jun. 24, 2022
EUR (€)
Apr. 08, 2021
USD ($)
Dec. 14, 2018
MXN ($)
Mar. 07, 2018
USD ($)
Dec. 31, 2023
USD ($)
Dec. 31, 2023
MXN ($)
Oct. 04, 2023
USD ($)
Dec. 25, 2022
USD ($)
Sep. 02, 2021
USD ($)
Aug. 09, 2021
USD ($)
Sep. 29, 2017
USD ($)
2021 US Credit Facility | SOFR Rate                              
Debt Instrument [Line Items]                              
Basis spread on variable interest rate     0.10%                        
Credit facility                              
Debt Instrument [Line Items]                              
Outstanding borrowings                 $ 0            
Credit facility | 2021 US Credit Facility | Revolving Credit Facility                              
Debt Instrument [Line Items]                              
Maximum borrowing capacity                     $ 850,000,000        
Letters of credit issued                 25,100,000            
Current borrowing capacity                 824,900,000            
Line of Credit Facility, Current Borrowing Capacity                     $ 800,000,000        
Credit facility | 2021 US Credit Facility Term Loans | Credit facility                              
Debt Instrument [Line Items]                              
Maximum borrowing capacity                           $ 700,000,000  
Credit facility | Moy Park Bank Of Ireland Revolving Facility | Credit facility                              
Debt Instrument [Line Items]                              
Maximum borrowing capacity | €         € 150.0                    
Credit facility | Bank Of Ireland Revolving Facility, Due 2023 | Credit facility                              
Debt Instrument [Line Items]                              
Letters of credit issued                 191,100,000            
Credit facility | Bank Of Ireland Revolving Facility, Due 2023 | Credit facility | SONIA Rate                              
Debt Instrument [Line Items]                              
Basis spread on variable interest rate         1.25%                    
Credit facility | U.K. and Europe Revolving Facility | Credit facility                              
Debt Instrument [Line Items]                              
Outstanding borrowings                 $ 0            
Credit facility | Mexico Credit Facility | Credit facility                              
Debt Instrument [Line Items]                              
Maximum borrowing capacity             $ 1,500,000,000     $ 65,400,000          
Credit facility | Mexico Credit Facility | Credit facility | TIIE Rate                              
Debt Instrument [Line Items]                              
Basis spread on variable interest rate             1.70%   1.70%            
Long-term debt                 $ 0     $ 0      
Credit facility | Mexico BBVA Credit Facility | Credit facility                              
Debt Instrument [Line Items]                              
Maximum borrowing capacity   $ 1,100,000,000                          
Long-term debt                 $ 0            
Credit facility | Mexico BBVA Credit Facility | Credit facility | TIIE Rate                              
Debt Instrument [Line Items]                              
Basis spread on variable interest rate   1.35%             1.35%            
Long-term debt                 $ 0     0      
Senior notes | Senior notes payable, net of discount at 5.875%                              
Debt Instrument [Line Items]                              
Principal amount               $ 250,000,000             $ 600,000,000
Stated interest rate 5.875%               5.875% 5.875%         5.875%
Add-on issuance percentage of face value               97.25%              
Gross amount               $ 243,100,000              
Debt discount               $ 6,900,000              
Long-term debt                 $ 0     846,582,000      
Senior notes | Senior notes payable, net of discount, at 4.25%                              
Debt Instrument [Line Items]                              
Principal amount           $ 1,000,000,000                  
Stated interest rate           4.25%     4.25% 4.25%          
Add-on issuance percentage of face value           98.994%                  
Gross amount           $ 989,900,000                  
Debt discount           $ 10,100,000                  
Stated interest rate if emissions target is met           4.50%                  
Notification period if emissions threshold is met           30 days                  
Emissions threshold           17.679%                  
Long-term debt                 $ 992,711,000     991,692,000      
Senior notes | Senior notes payable at 3.50%                              
Debt Instrument [Line Items]                              
Principal amount                         $ 900,000,000    
Stated interest rate                 3.50% 3.50%     3.50%    
Long-term debt                 $ 900,000,000     900,000,000      
Senior notes | Senior notes payable, net of discount, at 6.25%                              
Debt Instrument [Line Items]                              
Principal amount       $ 1,000,000,000                      
Stated interest rate       6.25%         6.25% 6.25%          
Add-on issuance percentage of face value       99.312%                      
Gross amount       $ 993,100,000                      
Debt discount       $ 6,900,000                      
Long-term debt                 $ 993,595,000     $ 0      
Senior notes | Senior notes payable, net of discount, at 6.875%                              
Debt Instrument [Line Items]                              
Principal amount $ 500,000,000                            
Stated interest rate 6.875%               6.875% 6.875%   6.875%      
Add-on issuance percentage of face value 98.041%                            
Gross amount $ 490,200,000                            
Debt discount $ 9,800,000                            
Long-term debt                 $ 490,408,000     $ 0