v3.25.2
Note 12 - Financing Agreements (Tables)
6 Months Ended
Jun. 30, 2025
Notes Tables  
Schedule of Debt [Table Text Block]
 

Interest Rate

  

June 30, 2025

  

December 31, 2024

 

Senior Notes due April 15, 2025

5.750%

* $  $200 

Senior Notes due November 15, 2027

5.375%

   400   400 

Senior Notes due June 15, 2028

5.625%

   400   400 

Senior Euro Notes due July 15, 2029

3.000%

   383   337 

Senior Notes due September 1, 2030

4.250%

   400   400 

Senior Euro Notes due July 15, 2031

8.500%

   501   440 

Senior Notes due February 15, 2032

4.500%

   350   350 

Other indebtedness

    174   93 

Debt issuance costs

    (18)  (19)
     2,590   2,601 

Less: Current portion of long-term debt

    22   214 

Long-term debt, less debt issuance costs

   $2,568  $2,387 
Debt Instrument Redemption [Table Text Block]
  

Redemption Price

 
  

November

  

June

  

July

  

September

  

July

  

February

 

Year

 

2027 Notes

  

2028 Notes

  

2029 Notes

  

2030 Notes

  

2031 Notes

  

2032 Notes

 

2024

  100.000%     101.500%            

2025

  100.000%  100.000%  100.750%            

2026

  100.000%  100.000%  100.000%  102.125%  104.250%    

2027

     100.000%  100.000%  101.417%  102.125%  102.250%

2028

          100.000%  100.708%  100.000%  101.500%

2029

              100.000%  100.000%  100.750%

2030

                  100.000%  100.000%

2031

                      100.000%
Schedule of Long-Term Debt Instruments [Table Text Block]
  

Margin

 

Total Net Leverage Ratio

 

Base Rate

  

SOFR Rate

 

Less than or equal to 1.00:1.00

  0.25%  1.25%

Greater than 1.00:1.00 but less than or equal to 2.00:1.00

  0.50%  1.50%

Greater than 2.00:1.00

  0.75%  1.75%
Schedule of Line of Credit Facilities [Table Text Block]

Total Net Leverage Ratio

 

Commitment Fee

 

Less than or equal to 1.00:1.00

  0.250%

Greater than 1.00:1.00 but less than or equal to 2.00:1.00

  0.375%

Greater than 2.00:1.00

  0.500%