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FINANCING ARRANGEMENTS (Tables)
12 Months Ended
Dec. 31, 2020
Debt Disclosure [Abstract]  
Schedule of Components of Short-term and Long-term Debt
The components of our short-term and long-term debt and the associated interest rates were as follows (dollars in thousands):
Average interest rate as ofCarrying value as of
December 31, 2020December 31, 2019MaturityDecember 31, 2020December 31, 2019
Revolving credit facility— %— %October 2023$— $— 
Senior Notes, Series A3.97 %3.97 %August 2023175,000 175,000 
Senior Notes, Series B4.26 %4.26 %August 2028150,000 150,000 
Senior Notes, Series C4.60 %4.60 %August 2033175,000 175,000 
Receivables securitization facility (1)
— %2.41 %December 2020— 142,885 
Senior Notes (1)
4.20 %4.20 %April 2028593,301 592,448 
Total debt1,093,301 1,235,333 
Less: Current maturities and short-term borrowing— (142,885)
Long-term debt$1,093,301 $1,092,448 
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(1) Net of unamortized discounts and issuance costs.