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DEBT (Tables)
12 Months Ended
Dec. 31, 2023
Debt Disclosure [Abstract]  
Schedule of Outstanding Debt Balances
Outstanding debt balances were as follows:
SuccessorPredecessor
December 31, 2023December 31, 2022
Notes payable – current
Lines of credit$— $0.9 
2023 Term Loan B Facility - USD— 12.9 
2023 Term Loan B Facility - Euro— 5.1 
2025 Extended Term Loan B Facility - USD— 5.3 
2025 Extended Term Loan B Facility - EUR— 1.1 
Other0.3 1.7 
0.3 27.0 
Short-term deferred financing fees— (3.0)
$0.3 $24.0 
Long-term debt
2024 Senior Notes$— $72.1 
2025 Senior Secured Notes - USD— 2.7 
2025 Senior Secured Notes - EUR— 4.7 
2026 Asset Backed Loan (ABL)— 182.0 
2025 Extended Term Loan B Facility - USD— 529.5 
2025 Extended Term Loan B Facility - EUR— 95.5 
2026 2L Notes— 333.6 
2025 Exchanged Senior Secured Notes - USD— 718.1 
2025 Exchanged Senior Secured Notes - EUR— 379.7 
2025 Superpriority Term Loans— 400.6 
Exit Facility1,250.0 — 
Other3.6 6.3 
1,253.6 2,724.8 
Long-term deferred financing fees(1.2)(139.0)
$1,252.4 $2,585.8 
Schedule of Financing Facilities
Below is a summary of financing facilities information:
Interest Rate
Index and Margin
Maturity/Termination DatesInitial Term (Years)
Exit Facility(i)
SOFR + 7.50%
August 20285.0
(i)SOFR with a floor of 4.0 percent