v3.25.4
Debt (Tables)
12 Months Ended
Dec. 31, 2025
Debt Disclosure [Abstract]  
Schedule of information about debt
The following table presents information about our debt:
(dollars in millions)
December 31, 2025December 31, 2024
Interest terms
RateAmount
Receivables facility
SOFR1 plus —%
— %$— $125.0 
Senior secured credit facilities:
Euro term loans B-4
EURIBOR plus —%
— %— 81.6 
Euro term loans B-5
EURIBOR plus —%
— %— 324.5 
Euro term loans B-6
EURIBOR plus 2.50%
4.46 %645.2 — 
Euro term loans A-1
EURIBOR plus 1.50%
3.46 %469.2 — 
U.S. dollar term loans B-6
SOFR1 plus —%
— %— 86.6 
2.625% secured notesfixed rate— %— 672.6 
3.875% unsecured notesfixed rate3.875 %800.0 800.0 
3.875% unsecured notesfixed rate3.875 %469.2 413.9 
4.625 % unsecured notesfixed rate4.625 %1,550.0 1,550.0 
Finance lease liabilities26.9 15.0 
Other7.4 8.6 
Total debt, gross3,967.9 4,077.8 
Less: unamortized deferred financing costs(21.6)(22.0)
Total debt$3,946.3 $4,055.8 
Classification on balance sheets:
Current portion of debt$30.8 $821.1 
Debt, net of current portion3,915.5 3,234.7 
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1.SOFR includes credit spread adjustment.
Schedule of mandatory future repayments of debt principal
The following table presents mandatory future repayments of debt principal:
(in millions)
December 31, 2025
2026
$30.8 
202737.4 
20282,056.1 
2029835.7 
2030391.0 
Thereafter616.9 
Total debt, gross$3,967.9 
Schedule of availability under credit facilities
The following table presents availability under our revolving credit facility:
(in millions)
December 31, 2025
Capacity$1,400.0 
Undrawn letters of credit outstanding(19.5)
Unused availability$1,380.5