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Revolving Credit Agreement (Details) - USD ($)
$ in Millions
Jul. 01, 2023
Jul. 29, 2023
Line of Credit Facility [Abstract]    
Borrowing capacity   $ 800.0
Expansion option   200.0
Borrowings outstanding   0.0
Reference rate Adjusted Daily Simple SOFR  
Basis spread on variable rate, condition one 1.75%  
Quarterly availability, percentage of commitment fee maximum for condition one 50.00%  
Basis spread on variable rate, condition two 1.50%  
Quarterly availability, percentage of commitment fee minimum for condition two 50.00%  
Commitment fee for unused borrowings, condition one 0.30%  
Unused borrowings, percentage of total commitment maximum for condition one 35.00%  
Commitment fee for unused borrowings, condition two 0.25%  
Unused borrowings, percentage of total commitment minimum for condition two 35.00%  
Minimum line of credit availability for no financial covenant requirements $ 80.0  
Letters of credit issued   19.3
Unutilized credit facility borrowing capacity   $ 780.7