XML 51 R39.htm IDEA: XBRL DOCUMENT v3.21.2
Fair Value of Assets and Liabilities (Tables)
6 Months Ended
Jun. 30, 2021
Fair Value Disclosures [Abstract]  
Summary of Assets and Liabilities Recorded at Fair Market Value
Assets and liabilities subject to fair value measurement by fair value level and recorded as follows:
 June 30, 2021December 31, 2020
  Fair Value Measurements Using Fair Value Measurements Using
 Classification on condensed consolidated Balance SheetsFair ValueLevel 1Level 2Fair ValueLevel 1Level 2
Assets
Short-term investments
Certificates of depositShort-term investments$8.1 $8.1 $— $37.2 $37.2 $— 
Assets held in rabbi trustsSecurities and other investments6.9 6.9 — 6.6 6.6 — 
Foreign exchange forward contractsOther current assets— — — 1.7 — 1.7 
Total$15.0 $15.0 $— $45.5 $43.8 $1.7 
Liabilities
Foreign exchange forward contractsOther current liabilities$0.2 $— $0.2 $2.7 $— $2.7 
Interest rate swaps - long termOther liabilities0.7 — 0.7 3.0 — 3.0 
Deferred compensationOther liabilities6.9 6.9 — 6.6 6.6 — 
Total$7.8 $6.9 $0.9 $12.3 $6.6 $5.7 
Fair value and carrying value of the Company's debt instruments
The carrying amount of the Company's debt instruments approximates fair value except for the 2024 Senior Notes and 2025 Senior Secured Notes. The fair value and carrying value of the 2024 Senior Notes and 2025 Senior Secured Notes are summarized as follows:
 June 30, 2021December 31, 2020
 Fair ValueCarrying
Value
Fair ValueCarrying
Value
2024 Senior Notes$408.0 $400.0 $400.0 $400.0 
2025 Senior Secured Notes - USD$773.5 $700.0 $778.8 $700.0 
2025 Senior Secured Notes - EUR$457.0 $415.9 $466.0 $429.5