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Debt (Tables)
12 Months Ended
Dec. 31, 2024
Debt Disclosure [Abstract]  
Schedule of Indebtedness Outstanding
Indebtedness and scheduled maturities consisted of the following:
($ in millions)Interest
Rates
Final
Maturity
December 31,
20242023
Short-term debt
Revolving Credit FacilityVariable2026$— $— 
Long-term debt(1)
7.25% 2023 Senior Notes, Aggregate principal amount of $300.0 less unaccrued discount of $0.4 and $0.5 and unamortized debt issuance costs of $2.3 and $2.8
7.25%2028297.3 296.7 
4.50% 2015 Senior Notes, Aggregate principal amount of $250.0 less unaccrued discount of $0.1 and $0.2 and unamortized debt issuance costs of $0.2 and $0.5
4.50%2025249.7 249.3 
Total
$547.0 $546.0 
(1)    The Company designates debt obligations as "long-term" based on maturity date at issuance.