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Indebtedness (Tables)
12 Months Ended
Dec. 31, 2019
Debt Disclosure [Abstract]  
Schedule of debt

Total borrowings outstanding are summarized as follows (in millions):
 
 
 
Year Ended
 
 
 
December 31,
2019
 
December 31,
2018
Term loan
 
 
 
*
2018 Term loan due March 8, 2020
$

 
$
351.3

 
2019 Term loan due August 15, 2022
600.0

 

 
Total term loans
600.0

 
351.3

 
 
 
 
 
 
Notes and bonds
 
 
 
 
Coupon
Due
 
 
 
*
5.000%
May 23, 2019(3)

 
137.6

 
3.500%
March 15, 2021(4)
280.4

 
280.4

 
3.500%
December 15, 2021(1)
309.6

 
309.6

*
5.105%
July 28, 2023(3)
151.4

 
154.9

 
4.000%
November 15, 2023(2)
215.6

 
215.6

 
3.900%
December 15, 2024(1)
700.0

 
700.0

 
4.375%
March 15, 2026(4)
700.0

 
700.0

 
5.300%
November 15, 2043(2)
90.5

 
90.5

 
4.900%
December 15, 2044(1)
303.9

 
303.9

 
Total notes and bonds
2,751.4

 
2,892.5

Other financing
24.6

 
2.8

Unamortized premium (discount), net
7.3

 
12.2

Deferred financing fees
(14.1
)
 
(16.4
)
Total borrowings outstanding
3,369.2

 
3,242.4

 
Current indebtedness
(3.4
)
 
(190.2
)
Total long-term debt less current portion
$
3,365.8

 
$
3,052.2


(1)
Discussed below collectively as the "2014 Notes"
(2)
Discussed below collectively as the "2013 Notes"
(3)
Debt assumed from Omega
(4)
Discussed below collectively as the "2016 Notes"

*
Debt denominated in euros subject to fluctuations in the euro-to-U.S. dollar exchange rate.
Schedule of maturities of short-term and long-term debt
The annual future maturities of our short-term and long-term debt, including capitalized leases, are as follows (in millions):
Payment Due
 
Amount
2020
 
$
3.4

2021
 
594.2

2022
 
604.2

2023
 
371.2

2024
 
704.2

Thereafter
 
1,098.8