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Debt (Textuals) (Details)
€ in Millions
3 Months Ended 9 Months Ended
Jul. 20, 2020
USD ($)
Sep. 30, 2022
USD ($)
Sep. 30, 2022
USD ($)
Sep. 30, 2021
USD ($)
Dec. 31, 2023
Sep. 30, 2023
Dec. 31, 2022
Nov. 09, 2022
Sep. 30, 2022
EUR (€)
Mar. 31, 2022
USD ($)
Dec. 31, 2021
USD ($)
Debt (Textuals)                      
Proceeds from Other Debt     $ 12,400,000 $ 9,900,000              
Proceeds from Lines of Credit     512,000,000.0 468,000,000.0              
Repayments of Other Debt     12,300,000 13,600,000              
Repayments of Lines of Credit $ 193,800,000   $ 272,000,000.0 280,100,000              
Debt Issuance Costs, Line of Credit Arrangements, Gross                   $ 1,100,000  
2L Note Warrant Shares Percentage   19.99% 19.99%           19.99%    
2L Note Par Percentage   95.00% 95.00%           95.00%    
Minimum [Member]                      
Debt (Textuals)                      
Net Debt To EBITDA Leverage Ratio   1.00 1.00           1.00    
Adjusted EBITDA To Net Interest Expense Coverage Ratio   1.00 1.00           1.00    
Maximum [Member]                      
Debt (Textuals)                      
Net Debt To EBITDA Leverage Ratio   6.50 6.50           6.50    
Adjusted EBITDA To Net Interest Expense Coverage Ratio   1.625 1.625           1.625    
Maximum [Member] | Subsequent Event [Member]                      
Debt (Textuals)                      
Net Debt To EBITDA Leverage Ratio         5.25 5.50          
Adjusted EBITDA To Net Interest Expense Coverage Ratio             1.75        
2022 Revolving Credit Facility [Member]                      
Debt (Textuals)                      
Current borrowing capacity   $ 300,900,000 $ 300,900,000               $ 35,900,000
2022 Term Loan A Facility [Member]                      
Debt (Textuals)                      
Description of interest rate terms [1]     LIBOR + 4.50%                
Debt Instrument, Term     3 years                
Term Loan B EUR [Member]                      
Debt (Textuals)                      
Repayments of Other Debt     $ 3,800,000 3,500,000              
Repayments of Debt, Maturing in More than Three Months   $ 0.050                  
Senior Notes Due 2025 [Member]                      
Debt (Textuals)                      
Description of interest rate terms 9.375% 9.375% 9.375%           9.375%    
Senior Secured Notes, Percentage Issuance of Principal Amount   99.031% 99.031%           99.031%    
TSA Related Percentages   91.80% 91.80%           91.80%    
Senior Notes Due 2025 EURO [Member]                      
Debt (Textuals)                      
Description of interest rate terms 9.00% 9.00% 9.00%           9.00%    
Senior Secured Notes, Percentage Issuance of Principal Amount   99.511% 99.511%           99.511%    
Secured Long-term Debt, Noncurrent | €                 € 350.0    
TSA Related Percentages   85.40% 85.40%           85.40%    
Redemption Premium   $ 0.030                  
Asset Backed Loan                      
Debt (Textuals)                      
Current borrowing capacity   $ 250,000,000 $ 250,000,000                
Term Loan B USD [Member]                      
Debt (Textuals)                      
Repayments of Other Debt     $ 4,200,000 $ 3,500,000              
TSA Related Percentages   78.80% 78.80%           78.80%    
Repayments of Debt, Maturing in More than Three Months   $ 0.150                  
Term Loan B USD [Member] | Subsequent Event [Member]                      
Debt (Textuals)                      
TSA Related Percentages               97.00%      
Senior Notes Due 2024 [Member]                      
Debt (Textuals)                      
TSA Related Percentages   59.30% 59.30%           59.30%    
Redemption Premium   $ 0.050                  
Senior Notes Due 2024 [Member] | Subsequent Event [Member]                      
Debt (Textuals)                      
TSA Related Percentages               83.00%      
2022 Revolving Credit Facility [Member] | Minimum [Member]                      
Debt (Textuals)                      
Debt Instrument, Basis Spread on Variable Rate     4.25%                
2022 Revolving Credit Facility [Member] | Maximum [Member]                      
Debt (Textuals)                      
Debt Instrument, Basis Spread on Variable Rate     1.25%                
Senior Notes Due 2024 [Member]                      
Debt (Textuals)                      
Debt Instrument, Term     8 years                
Description of interest rate terms   8.50% 8.50%           8.50%    
Unsecured Debt   $ 400,000,000.0 $ 400,000,000.0                
Term Loan B USD [Member]                      
Debt (Textuals)                      
Description of interest rate terms [2]     LIBOR + 2.75%                
Debt Instrument, Term     7 years 6 months                
Term Loan B EUR [Member]                      
Debt (Textuals)                      
Description of interest rate terms [3]     EURIBOR + 3.00%                
Debt Instrument, Term     7 years 6 months                
Term Loan B EUR [Member] | Minimum [Member]                      
Debt (Textuals)                      
Debt Instrument, Description of Variable Rate Basis     EURIBOR with a floor of 0.0%                
Revolving Credit Facility Due 2023 [Member]                      
Debt (Textuals)                      
Description of interest rate terms     LIBOR + 4.25%                
Revolving Credit Facility Due 2023 [Member] | Minimum [Member]                      
Debt (Textuals)                      
Debt Instrument, Description of Variable Rate Basis     LIBOR with a floor of 0.5%                
Senior Notes Due 2025 [Member]                      
Debt (Textuals)                      
Debt Instrument, Term     5 years                
Senior Notes Due 2025 EURO [Member]                      
Debt (Textuals)                      
Debt Instrument, Term     5 years                
2022 Revolving Facility and Term Loan B Facility USD [Member] | Minimum [Member]                      
Debt (Textuals)                      
Debt Instrument, Description of Variable Rate Basis     LIBOR with a floor of 0.0%                
International Short-Term Uncommitted Line of Credit [Member]                      
Debt (Textuals)                      
Borrowing limit of short term uncommitted line of credit   $ 52,900,000 $ 52,900,000                
Weighted average interest rate on outstanding borrowings   17.11% 17.11%           17.11%   3.24%
Amount available   $ 43,700,000 $ 43,700,000                
Line of Credit Facility, Expiration Period     1 year                
Base Rate [Member] | 2022 Term Loan A Facility [Member]                      
Debt (Textuals)                      
Description of interest rate terms     1.00 percent less than in the case of LIBOR-based loans                
[1] LIBOR with a floor of 0.5%
[2] LIBOR with a floor of 0.0%
[3] EURIBOR with a floor of 0.0%