v3.25.2
Long-Term Debt - Narrative (Details)
£ in Millions, $ in Millions
6 Months Ended
May 12, 2025
Jun. 30, 2025
USD ($)
Jun. 30, 2025
MXN ($)
May 14, 2025
GBP (£)
May 13, 2025
Aug. 08, 2024
USD ($)
Feb. 21, 2024
USD ($)
Dec. 13, 2021
USD ($)
Aug. 26, 2020
USD ($)
Debt Instrument [Line Items]                  
Investment requirement percentage 0.20       0.25        
Line of Credit Facility, Leverage Ratio, Adjusted EBITDA 3.0                
Line of Credit Facility, Non-Loan Party, Investment Requirement   $ 200,000,000              
Bridge Loan | £       £ 299.0          
Line of Credit | Secured overnight financing rate (SOFR) overnight index swap rate                  
Debt Instrument [Line Items]                  
Basis spread on variable rate (as a percent)   2.50%              
Revolving Unsecured Credit Facility due 2029 | Line of Credit                  
Debt Instrument [Line Items]                  
Maximum borrowing capacity           $ 700,000,000.0      
Amount outstanding   $ 152,000,000.0              
Letters of credit outstanding   2,700,000              
Remaining borrowing capacity   $ 545,300,000              
Commitment fee (as a percent)   0.325%              
Interest rate at end of period (as a percent)   6.82% 6.82%            
Net proceeds   $ (46,000,000.0)              
Revolving Unsecured Credit Facility due 2029 | Line of Credit | Minimum                  
Debt Instrument [Line Items]                  
Stated interest rate (as a percent)   0.00% 0.00%            
Revolving Unsecured Credit Facility due 2029 | Line of Credit | Prime rate                  
Debt Instrument [Line Items]                  
Basis spread on variable rate (as a percent)   1.50%              
Revolving Unsecured Uncommitted Credit Facility due 2027 | Line of Credit                  
Debt Instrument [Line Items]                  
Maximum borrowing capacity     $ 600.0            
Remaining borrowing capacity   $ 31,800,000 $ 600.0            
Revolving Unsecured Uncommitted Credit Facility due 2027 | Line of Credit | Mexican central bank interbank equilibrium rate (TIIE)                  
Debt Instrument [Line Items]                  
Basis spread on variable rate (as a percent)   2.25%              
4.625% senior unsecured notes due 2028 | Senior Notes                  
Debt Instrument [Line Items]                  
Stated interest rate (as a percent)   4.625% 4.625%           4.625%
Face amount                 $ 500,000,000.0
Debt ratio threshold   2.75 2.75            
5.625% Senior Unsecured Notes due 2030 | Senior Notes                  
Debt Instrument [Line Items]                  
Stated interest rate (as a percent)   5.625% 5.625%         5.625%  
Face amount               $ 550,000,000.0  
Debt ratio threshold   3.0 3.0            
6.875% Senior Unsecured Notes due 2032 | Senior Notes                  
Debt Instrument [Line Items]                  
Stated interest rate (as a percent)   6.875% 6.875%       6.875%    
Face amount             $ 500,000,000.0    
Debt ratio threshold   3.0 3.0            
Debt ratio   2.5 2.5