v3.26.1
Debt (Tables)
6 Months Ended
Jun. 30, 2026
Debt Disclosure [Abstract]  
Long-Term Debt
Non-vehicle long-term debt consisted of the following:
Debt DescriptionMaturity DateInterest PayableJune 30,
2026
December 31,
2025
3.8% Senior Notes
November 15, 2027May 15 and November 15$300.0 $300.0 
1.95% Senior Notes
August 1, 2028February 1 and August 1400.0 400.0 
4.45% Senior Notes
January 15, 2029January 15 and July 15600.0 600.0 
4.75% Senior Notes
June 1, 2030June 1 and December 1500.0 500.0 
2.4% Senior Notes
August 1, 2031February 1 and August 1450.0 450.0 
3.85% Senior Notes
March 1, 2032March 1 and September 1 700.0 700.0 
5.89% Senior Notes
March 15, 2035March 15 and September 15500.0 500.0 
Revolving credit facilityJuly 18, 2028Monthly— — 
Finance leases and other debt
Various dates through 2051
364.2 353.9 
3,814.2 3,803.9 
Less: unamortized debt discounts and debt issuance costs(21.9)(24.4)
Less: current maturities(74.9)(74.7)
Long-term debt, net of current maturities$3,717.4 $3,704.8 
Schedule of non-recourse Debt
Non-recourse debt outstanding at June 30, 2026, and December 31, 2025, consisted of the following:
June 30,
2026
December 31, 2025
Warehouse facilities$803.5 $1,398.7 
Term securitization debt of consolidated VIEs1,620.6 548.6 
2,424.1 1,947.3 
Less: unamortized debt discounts and debt issuance costs(6.9)(2.7)
Less: current maturities (83.3)(63.8)
Non-recourse debt, net of current maturities $2,333.9 $1,880.8 
Schedule of Warehouse Facilities The aggregate capacities under our warehouse facilities as of June 30, 2026, were as follows:
June 30,
2026
Warehouse facilities:
August 2026 expiration
$400.0 
October 2026 expiration
300.0 
December 2026 expiration
700.0 
Aggregate capacity $1,400.0 
Unused capacity$596.5 
Schedule of Non-recourse Debt Term Securitizations At June 30, 2026, non-recourse notes payable consisted of the following:
Balance
Initial Principal Amount
Issuance Date
Interest Rate Range
Final Distribution Date
AutoNation Finance Trust 2025-1 Class A-D
$437.3 $700.0 5/21/2025
4.62% to 5.63%
Various dates through Sep 2032
AutoNation Finance Trust 2026-1 Class A-D
$633.3 $749.2 1/29/2026
3.95% to 5.07%
Various dates through Jan 2034
AutoNation Finance Trust 2026-2 Class A-D$550.0 $550.0 6/17/2026
3.96% to 5.75%
Various dates through May 2034
Total non-recourse notes payable
$1,620.6 $1,999.2