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Debt (Tables)
12 Months Ended
Dec. 31, 2022
Debt Disclosure [Abstract]  
Schedule of Outstanding Amount of Credit Facilities
Amounts outstanding under our credit facilities, net of debt issuance costs consist of the following:
December 31, 2022December 31, 2021
Unsecured Revolving Credit Facility, $1,500,000, LIBOR plus 1.13% variable, due September 30, 2026
$— $— 
January 6, 2022, Senior Unsecured Notes, $500,000, 1.75% fixed, due February 1, 2025
500,000 — 
January 6, 2022, Senior Unsecured Notes, $500,000, 2.75% fixed, due February 1, 2032
500,000 — 
October 27, 2020, Senior Unsecured Notes, $500,000, 1.88% fixed, due November 1, 2030
500,000 500,000 
December 2, 2013, Series F Senior Unsecured Notes, $250,000, 3.24% fixed, due December 2, 2023
250,000 250,000 
June 30, 2019, Series A Senior Unsecured Notes, A$155,000, 3.10% fixed, due June 30, 2024
105,664 112,375 
October 30, 2017, Series J Senior Unsecured Notes, €225,000, 1.40% fixed, due October 30, 2024
240,840 254,835 
June 30, 2019, Series B Senior Unsecured Notes, A$155,000, 3.43% fixed, due June 30, 2026
105,664 112,375 
November 30, 2016, Series H Senior Unsecured Notes, $250,000, 3.24% fixed, due November 30, 2026
250,000 250,000 
October 30, 2017, Series K Senior Unsecured Notes, €250,000, 1.81% fixed, due October 30, 2027
267,600 283,150 
October 30, 2017, Series I Senior Unsecured Notes, $120,000, 3.70% fixed, due October 30, 2027
120,000 120,000 
May 31, 2019, Series A Senior Unsecured Notes, €50,000, 1.55% fixed, due May 31, 2029
53,520 56,630 
October 30, 2017, Series L Senior Unsecured Notes, €125,000, 2.02% fixed, due October 30, 2029
133,800 141,575 
May 31, 2019, Series B Senior Unsecured Notes, €100,000, 1.74% fixed, due May 31, 2031
107,040 113,260 
October 30, 2017, Series M Senior Unsecured Notes, €100,000, 2.32% fixed, due October 30, 2032
107,040 113,260 
May 31, 2019, Series C Senior Unsecured Notes, €100,000, 1.95% fixed, due May 31, 2034
107,040 113,260 
Other unsecured debt2,977 840 
Total unsecured debt3,351,185 2,421,560 
Unamortized debt issuance costs(12,236)(8,041)
Unamortized discounts(10,126)(4,156)
Total debt3,328,823 2,409,363 
Less debt due within one year252,029 — 
Long-term debt, excluding current portion$3,076,794 $2,409,363 
Schedule of Maturities of Long-term Debt
Approximate maturities under our credit facilities are as follows:
2023$252,029 
2024347,452 
2025500,000 
2026355,664 
2027387,600 
Thereafter1,508,440 
$3,351,185