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Debt
12 Months Ended
Dec. 31, 2020
Debt Disclosure [Abstract]  
Schedule of Debt .    DEBT
Debt consisted of the following at December 31:
20202019
3.67% $50 million 10-year Senior Notes due December 17, 2022$50,000 $50,000 
4.10% $50 million 10-year Senior Notes due September 19, 202350,000 50,000 
3.84% $125 million 10-year Senior Notes due September 19, 2024125,000 125,000 
4.24% $125 million 10-year Senior Notes due June 25, 2025125,000 125,000 
3.91% $75 million 10-year Senior Notes due June 25, 202975,000 75,000 
3.19% $50 million 15-year Senior Notes due January 24, 203550,000 — 
1.47% EUR 125 million 15-year Senior Notes due June 17, 2030153,299 140,197 
1.30% EUR 135 million 15-year Senior Notes due November 6, 2034165,563 151,413 
Senior Notes debt issuance costs, net(2,760)(2,259)
Total Senior Notes
791,102 714,351 
$1.1 billion Credit Agreement, interest at LIBOR plus 87.5 basis points(1)
491,419 520,999 
Other local arrangements51,970 55,868 
Total debt
1,334,491 1,291,218 
Less: current portion(50,317)(55,868)
Total long-term debt
$1,284,174 $1,235,350