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Borrowing Arrangements (Tables)
12 Months Ended
Dec. 31, 2015
Debt Disclosure [Abstract]  
Schedule of long-term borrowings
Long-term borrowings, in order of preference, consisted of the following:
 
 
 
Amount Outstanding
 
 
 
December 31,
(millions)
Maturity Date
 
2015
 
2014
Senior credit facility, net of original discount on borrowings and deferred financing costs
(1) / (2)
 
$
223.1

 
$
248.4

Other borrowings
Various
 
2.0

 
2.4

Total obligations under credit facility and other borrowings
 
 
225.1

 
250.8

Less: Current portion of obligations under credit facility and other borrowings
 
 
15.2

 
14.5

Total long-term obligations under credit facility and other borrowings
 
 
$
209.9

 
$
236.3


(1) Credit Agreement was due to mature October 2, 2017
(2) Restated Credit Agreement matures on February 20, 2020.
Aggregate minimum principal maturities of long-term debt
Aggregate minimum principal maturities of long-term borrowings for the fiscal years following December 31, 2015, are as follows:
(millions)
 
2016
$
16.5

2017
20.4

2018
20.1

2019
20.0

2020
152.3

Thereafter

Total debt
229.3

Less: Current portion, including debt discount
15.2

Less: Original discount on borrowings
1.8

Less: Deferred financing costs
2.4

Total long-term portion, obligations under credit facility and other borrowings
$
209.9